TSE News

New ETFs Included in Real-Time Dissemination of "TSE Indicative NAV"

Update : Dec. 02, 2011

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[Tokyo Stock Exchange, Inc.]

Tokyo Stock Exchange, Inc. (TSE) will newly calculate and publish the real-time Indicative Net Asset Value (Indicative NAV) per share for the below Exchange Traded Funds (ETFs) beginning December 19, 2011.

1. Addition

Code ETF Fund Administrator
1563 TSE Mothers Core ETF Simplex Asset Management

2. Indicative NAV Values

TSE Indicative NAV values can be found on the website below.
(PCF can be downloading by clicking issue name.)

3. ETF list

ETF list PDF

Contact

(General Inquiries on Indicative NAV)
Tokyo Stock Exchange, Inc.,Information Services Department.
TEL: +81-3-3665-1355
e-mail:index@tse.or.jp
(Market Information System)
Tokyo Stock Exchange, Inc.,Market Information Desk, IT Development Department
TEL: +81-3-3666-0141
e-mail:mainscall@tse.or.jp

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