Components Xtrackers Japan Net Zero Pathway Paris Aligned UCITS ETF - USD

ETF

XNJG

IE00074JLU02

Delayed London S.E. 19:35:22 16/07/2026 +04 5-day change 1st Jan Change
47.25 USD -0.24% Intraday chart for Xtrackers Japan Net Zero Pathway Paris Aligned UCITS ETF - USD -0.57% +5.97%

Components: Xtrackers Japan Net Zero Pathway Paris Aligned UCITS ETF - USD

2,899.50JPY-0.33%-13.60%3.49%
3,470.00JPY+0.93%-13.77%3.48%
7,294.00JPY+3.02%-31.16%3.27%
5,424.00JPY-9.01%+23.27%3.23%
70,880.00JPY-4.28%+25.05%3.08%
3,473.00JPY-4.30%+39.31%2.84%
64,780.00JPY-8.23%+34.48%2.7%
12,820.00JPY+1.63%+44.91%2.66%
3,766.00JPY+1.54%-13.17%2.56%
27,505.00JPY-7.20%+40.08%2.39%
78,840.00JPY0.00%+38.46%2.3%
6,554.00JPY-2.98%+0.83%2.28%
120,400.00JPY+1.01%-8.02%1.75%
133,400.00JPY+1.83%-6.65%1.71%
4,895.00JPY-1.63%+30.36%1.68%
88,800.00JPY+0.34%-4.41%1.67%
142,000.00JPY+1.07%-4.63%1.67%
3,624.00JPY+0.64%-12.29%1.64%
7,325.00JPY+1.16%-11.14%1.62%
1,789.00JPY-0.06%+4.35%1.6%
2,729.50JPY+1.28%-5.83%1.55%
36,950.00JPY-2.04%-15.54%1.49%
115,700.00JPY+0.78%-6.77%1.47%
154,500.00JPY+1.05%-10.75%1.45%
161,200.00JPY+0.37%-11.91%1.44%
4,717.00JPY-2.30%-3.77%1.43%
5,076.00JPY-0.47%-15.70%1.42%
1,944.00JPY-1.27%-22.26%1.4%
99,200.00JPY+0.20%-6.68%1.39%
1,483.50JPY-0.74%+10.87%1.36%
4,112.00JPY-2.44%+7.62%1.34%
2,425.50JPY+3.37%+11.65%1.33%
2,876.00JPY+1.18%+1.23%1.33%
1,268.50JPY-0.08%-1.59%1.29%
4,267.00JPY+1.40%-13.31%1.25%
5,480.00JPY+2.53%+13.34%1.24%
6,745.00JPY+1.00%+21.03%1.13%
65,100.00JPY-8.17%+89.69%1.08%
2,142.00JPY-4.29%+27.80%1.06%
3,412.00JPY+4.06%-6.55%1.03%
5,370.00JPY-5.22%+17.12%1.02%
11,000.00JPY-0.23%+23.97%1.01%
18,875.00JPY+3.57%-11.51%1%
1,919.00JPY-0.39%-9.22%0.99%
1,537.00JPY-0.77%-13.68%0.98%
3,822.00JPY-7.66%+78.60%0.95%
122,700.00JPY+0.74%-14.32%0.94%
25,215.00JPY+0.66%+6.46%0.9%
6,721.00JPY-4.40%+33.33%0.84%
1,757.00JPY+1.71%+2.87%0.83%

Description

IE00074JLU02
Total Expense Ratio 0.15%
Asset Class Stocks
Size
Currency
Provider
Underlying Solactive ISS ESG Japan Net Zero Pathway Index - USD
Autres ETFs

Features and characteristics

Dividend Policy Capitalisation
Replication Method Physique
Jurisdiction
Date of creation
25/08/2022
Geographical Focus

Distribution

Retail investor

AuM evolution - 27/02/2026

AuM (USD) 145M
AuM 1M 137M
AuM 3 months 137M
AuM 6 months 135M
AuM 12 months 9.61M
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