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Market News

Aug. 04, 2014 TSE Indicative NAV published for new ETFs through the FLEX standard service

Beginning on August 11, 2014, Tokyo Stock Exchange, Inc. (TSE) will publish the real-time Indicative Net Asset Value (Indicative NAV) per share through the FLEX standard service for the below one Exchange Traded Fund (ETF).

1. Addition

(1) ETFs

Code ETF Fund Administrator
1356 TOPIX Bear -2x ETF Simplex Asset Management

2. List of ETFs for which iNAV is calculated

ETF list PDF

Contact

(General Inquiries on Indicative NAV)
Information Services Department.
TEL: +81-50-3377-7754
e-mail:index@jpx.co.jp
(Market Information System)
Market Information Desk, IT Development Department
TEL: +81-50-3377-7805
e-mail:mainscall@jpx.co.jp