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) through the FLEX standard service on April 13, 2015.
1. Additions
Code | ETN | ETN Issuer |
1397 | SMAM NIKKEI225 ETF | Sumitomo Mitsui Asset Management |
1398 | SMAM REIT Index ETF | Sumitomo Mitsui Asset Management |
(Values for the Indicative NAVs will also be available on the website above on April 13.)
2. List of ETFs for which iNAV is calculated
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