Key facts

US$754.7m
Fund size
40
Holdings
Morningstar categoryEAA Fund Japan Large-Cap Equity
Launch date08 February 2021
Fund typeLuxembourg Domiciled UCITS
Dividend frequencyAnnually
Country of registrationAustria, Cyprus, Finland, Germany, Italy, Greece, Luxembourg, Norway, Spain, Sweden, Switzerland, UK
SFDR disclosureArticle 8

Fund objective

The investment objective is to achieve long-term capital growth and generate excess returns against the broad Japanese market by mainly investing in companies listed, domiciled and operating in Japan.

Source: Citibank Europe plc, Luxembourg Branch as at 31/01/2025.

Price history

Share ClassPricesChange (%)
Institutional
I Acc JPY¥24,179.501.60
I Acc GBP£157.481.70
I Acc EUR€154.012.07
I Acc USD$146.961.08
Founder
F Acc GBP£179.351.70
F Acc EUR€170.322.07
Retail
R Acc EUR€134.462.07
Retail
P Acc GBP£125.381.70
P Acc USD$128.001.08
P Acc EUR€104.102.07

Source: Citibank Europe plc, Luxembourg Branch. The fund is priced at12 noon, daily, Luxembourg time.
*Registered for sale in Germany only, OCF is capped.

Platform availability

  • I Shares |Institutional
  • R Shares |Retail
Minimum investment
£1m
Initial charge
0%
Annual management fee
0.85%
Performance fee
No

Codes and ongoing chargesShare prices and codes
Show all codes

Share ClassISINPriceChange (%)DateTimeOCFSEDOLBloombergCitiMEXIDWKN
I Shares
I Acc JPYLU2261203512¥24,179.501.6031/07/202512:001.06BN6JK78IUPJFIJ LX--A3D1RN
I Acc GBPLU2321459435£157.481.7031/07/202512:001.06BKPVTJ9IUPJFIG LX---
I Acc EURLU2394143205€154.012.0731/07/202512:001.06BMGBYQ4ZEZJIEI LX--A3C46L
I Acc USDLU2427474296$146.961.0831/07/202512:001.06BP9PX90IUPJFIU LX--A3D124
F Shares
F Acc GBPLU2261203942£179.351.7031/07/202512:00-BN6JK78----
F Acc EURLU2261203785€170.322.0731/07/202512:00-BN6JK67----
R Shares
R Acc EURLU2649499477€134.462.0731/07/202512:001.75BMHDB46IUPJFRE LX---
P Shares
P Acc GBPLU2720096945£125.381.7031/07/202512:001.2BMGC4L2IUPJFPG LX---
P Acc USDLU2715325044$128.001.0831/07/202512:001.18BPMQJM5IUPJFPU LX---
P Acc EURLU2791988327€104.102.0731/07/202512:001.2BV5F727IUPJFPE LX---

Source: Citibank Europe plc, Luxembourg Branch. The fund is priced at12 noon, daily, Luxembourg time.
*Registered for sale in Germany only, OCF is capped.

Choose share class

Dividend history

Record dateXD datePay dateRateTypeStatus

Dealing and liquidity

Dealing line+352 45 14 14 234
Administrator emailContact
Dealing fax+352 45 14 14 332/308
Dealing frequencyDaily
Price frequencyDaily
Settlement termsT+3
Dealing cut-off time12 midday (CET) T-1
Valuation point12 midday (CET) T