🪙Low yearly fee♻️Reinvests dividends🏦Owns the shares directly🌍Japan🌐Broadly spread
Ratio de gastos ?
0.12%
Distribución ?
Accumulating
Réplica ?
Physical Full
Patrimonio del fondo ?
$7.2B
Domicilio ?
IE
Divisa del fondo ?
USD
Holdings
965 positions
What this fund is
Tracks the MSCI Japan IMI index — large, mid and small companies listed in Japan. Accumulating, so dividends are reinvested. It is a single-country fund focused on Japan.
Rentabilidad
+39.5%
rentabilidad a 1 año · USD · a partir de 2026-06-25
Rentabilidad total — incluye dividendos reinvertidos. ?
Pick a monthly amount and a number of years to see how regular investing can add up over time. These are your own assumptions — an illustration, not a prediction.
Utilizando la comisión de iShares Core MSCI Japan IMI UCITS ETF. La "rentabilidad anual asumida" es solo una suposición que puedes cambiar — no es una predicción.
Try:Rough historical ranges — your assumption, not a prediction or advice.
Valor proyectado
Metiste
Crecimiento
≈ in today’s money 🛈
At year ·
· you’d have put in , growth added .
Drag across the chart (or use ← → keys) to read any year.
Dinero que añadiste Crecimiento
See the key milestones (every 5 years)
Year
Put in
Crecimiento
Balance
Try:Rough historical ranges — your assumption, not a prediction or advice.
Los gastos te cuestan aproximadamente
Valor con 0% de gastos
Valor con esta comisión
What you keep Lost to fees — and the gap grows every year
Add 2–3 funds to see, side by side, what the same amount might become if each repeated its last-12-months return every year — a rough illustration, not a forecast.
Try a quick comparison:
…or add a popular one:
How this works: an educational scenario, not a forecast. We compound monthly and add your monthly amount each month. “Expected annual return” is your own assumption — pick a cautious one; real markets are bumpy and can fall. “Adjust for inflation” simply restates the result in today’s spending power. The fee figure includes the yearly fund fee (TER) and the growth those fees would otherwise have earned. The fund comparison repeats each fund’s last-12-months return every year — a rough illustration only, which real funds never do. Not advice.
Dónde se negocia
Bolsa
Símbolo de cotización
Divisa
London Stock Exchange
SJPA
USD
★ primario ?
Principales participaciones ?
Principales participaciones (estimado) · a partir de 2026-06-25
MITSUBISHI UFJ FINANCIAL GROUP INC3.3%
TOKYO ELECTRON LTD3.1%
KIOXIA HOLDINGS CORP2.8%
TOYOTA MOTOR CORP2.5%
SOFTBANK GROUP CORP2.3%
SUMITOMO MITSUI FINANCIAL GROUP IN2.2%
ADVANTEST CORP2.2%
HITACHI LTD2.0%
MIZUHO FINANCIAL GROUP INC1.8%
SONY GROUP CORP1.8%
How concentrated it is ?
The 10 biggest holdings make up 23.9% of this fund.
Finance Hamster provides educational information about ETFs and investing. It is not investment, tax, or legal advice, and not a recommendation to buy or sell any security. Markets carry risk; do your own research or consult a licensed adviser.