40 ETFs

Amova Asset Management ETFs

40 Tokyo-listed products from Amova Asset Management. Listed trust fees range from 0.046% to 0.708% a year.

Amova Asset Management currently has 40 ETFs on ETF Note, spanning 37 regular, 2 leveraged, and 1 inverse products.

Trust fee up toany fee
Showing40of40
1308
0.046(*3)●
Listed Index Fund TOPIX
Amova Asset Management· Jan. 09, 2002
2093
0.060●
Listed Tracers US Government Bond 0-2years Ladder (No Currency Hedge)
Amova Asset Management· Oct. 05, 2023
1330
0.074(*3)●
Listed Index Fund 225
Amova Asset Management· Jul. 13, 2001
1586
0.088●
Listed Index Fund TOPIX Ex-Financials
Amova Asset Management· Sep. 26, 2013
1592
0.100●
Listed Index Fund JPX-Nikkei Index 400
Amova Asset Management· Jan. 28, 2014
2843
0.110●
Listed Index Fund Australian Government Bond (Currency Hedge)
Amova Asset Management· Feb. 17, 2022
2844
0.110●
Listed Index Fund Australian Government Bond (No Currency Hedge)
Amova Asset Management· Feb. 17, 2022
2861
0.110★
Listed Index Fund France Government Bond (No Currency Hedge)
Amova Asset Management· Aug. 17, 2022
2862
0.110★
Listed Index Fund France Government Bond (Currency Hedge)
Amova Asset Management· Aug. 17, 2022
608A
0.132●
Listed Index Fund TSE REIT High Yield 30
Amova Asset Management· Jul. 21, 2026
1481
0.150●
Listed Index Fund Japanese Economy Contributor Stocks
Amova Asset Management· May 25, 2016
1547
0.150●
Listed Index Fund US Equity (S&P500)
Amova Asset Management· Oct. 29, 2010
213A
0.150●
Listed Index Fund Nikkei Semiconductor Stock
Amova Asset Management· Jul. 12, 2024
2521
0.150●
Listed Index Fund US Equity (S&P500) Currency Hedge
Amova Asset Management· Aug. 03, 2018
2566
0.150●
Listed Index Fund Nikkei ESG REIT
Amova Asset Management· Sep. 07, 2020
399A
0.150●
Listed Index Fund Nikkei 225 High Dividend Yield Stock 50
Amova Asset Management· Jul. 24, 2025
540A
0.150●
Listed Index Fund Nikkei Bank Stock Top 10
Amova Asset Management· Mar. 18, 2026
1486
0.160★
Listed Index Fund US Bond (No Currency Hedge)
Amova Asset Management· Aug. 31, 2016
1487
0.160★
Listed Index Fund US Bond (Currency Hedge)
Amova Asset Management· Aug. 31, 2016
1578
0.225●
Listed Index Fund Nikkei 225 (Mini)
Amova Asset Management· Mar. 25, 2013
1554
0.240●
Listed Index Fund World Equity (MSCI ACWI) ex Japan
Amova Asset Management· Mar. 08, 2011
1680
0.240●
Listed Index Fund International Developed Countries Equity (MSCI-KOKUSAI)
Amova Asset Management· Jan. 29, 2010
1681
0.240★
Listed Index Fund International Emerging Countries Equity (MSCI EMERGING)
Amova Asset Management· Feb. 24, 2010
2552
0.245●
Listed Index Fund J-REIT (Tokyo Stock Exchange REIT Index) Even Month Settlement Type
Amova Asset Management· Jun. 04, 2019
1677
0.250●
Listed Index Fund International Bond (FTSE WGBI) Monthly Dividend Payment Type
Amova Asset Management· Sep. 30, 2009
2235
0.250●
Listed Index Fund US Equity (Dow Average) No Currency Hedge
Amova Asset Management· Dec. 16, 2022
2562
0.250★
Listed Index Fund US Equity (Dow Average) Currency Hedge
Amova Asset Management· Mar. 18, 2020
2568
0.250●
Listed Index Fund US Equity (NASDAQ100) No Currency Hedge
Amova Asset Management· Sep. 24, 2020
2569
0.250★
Listed Index Fund US Equity (NASDAQ100) Currency Hedge
Amova Asset Management· Sep. 24, 2020
1698
0.280●
Listed Index Fund Japan High Dividend(TSE Dividend Focus 100)
Amova Asset Management· May 14, 2010
1345
0.300●
Listed Index Fund J-REIT (Tokyo Stock Exchange REIT Index) Odd Month Settlement Type
Amova Asset Management· Oct. 21, 2008
1399
0.350●
Listed Index Fund MSCI Japan Equity High Dividend Low Volatility
Amova Asset Management· Dec. 01, 2015
2239+2x
0.360●
Listed Index Fund S&P500 Futures Leveraged Two Times
Amova Asset Management· Mar. 17, 2023
2240-1x
0.360●
Listed Index Fund S&P500 Futures Inverse
Amova Asset Management· Mar. 17, 2023
1490
0.450●
Listed Index Fund MSCI Japan Equity High Dividend Low Volatility (Beta Hedged)
Amova Asset Management· Mar. 13, 2017
1555
0.450●
Listed Index Fund Australian REIT (S&P/ASX200 A-REIT)
Amova Asset Management· Mar. 09, 2011
1566
0.450●
Listed Index Fund Emerging Bond
Amova Asset Management· Mar. 30, 2012
1322
0.500●
Listed Index Fund China A Share (Panda) E Fund CSI300
Amova Asset Management· Apr. 11, 2008
1495
0.650●
Listed Index Fund Asian REIT
Amova Asset Management· Jun. 29, 2017
1358+2x
0.708●
Listed Index Fund Nikkei Leveraged Index
Amova Asset Management· Aug. 26, 2014