iShares MSCI Japan SmallCap is an exchange traded fund (ETF) that aims to track the performance of the MSCI Japan Small Cap Index as closely as possible. The ETF invests in physical index securities. The MSCI Japan Small Cap Index offers exposure to Japanese small cap stocks which rank below the MSCI Japan Index measured by market capitalisation and comply with MSCI's size, liquidity, and free float criteria. The index is free float market capitalisation weighted. iShares ETFs are funds managed by BlackRock. They are transparent, cost-efficient, liquid vehicles that trade on stock exchanges like normal securities. iShares ETFs offer flexible and easy access to a wide range of markets and asset classes.
Please note that the data on this page uses the following information to define the results:
Currency: USD
Key Facts
Domicile
Irish
UCITS III
Yes
Ticker
ISJP
Asset Class
Equity
Expense Ratio (TER) %
0.59%
Base Currency
USD
Inception Date
09/05/08
Rebalance Frequency
Quarterly
Fund Structure
Physical
ETF Methodology
Optimised
Dividend Frequency
Semi Annually
Use of Income
Distributing
Product Details
Fund Accountant
BOISS
Issuing Company
iShares III plc
Product Licenser
MSCI
Fund Manager
BlackRock Advisors (UK) Limited
Reporting Frequency
Quarterly
Futures Available
No
Options Available
No
Entry Fees
No
Exit Fees
No
Performance Fees
No
ISA
Yes
SIPP
Yes
UK Distributor Status
Yes
Minimum Purchase
1 Share
Benchmark Information
Benchmark Name
MSCI Japan Small Cap Index
Benchmark Provider
MSCI Inc.
Benchmark Currency
USD
Benchmark Level Type
Net Total Return
Bloomberg Total Return Index Ticker
NCUAJN
Net Asset Value Information
18/03/10
17/03/10
16/03/10
15/03/10
12/03/10
11/03/10
10/03/10
09/03/10
08/03/10
05/03/10
04/03/10
03/03/10
02/03/10
01/03/10
26/02/10
25/02/10
24/02/10
23/02/10
22/02/10
19/02/10
18/02/10
17/02/10
16/02/10
15/02/10
12/02/10
11/02/10
10/02/10
09/02/10
08/02/10
05/02/10
04/02/10
03/02/10
02/02/10
01/02/10
29/01/10
28/01/10
27/01/10
26/01/10
25/01/10
22/01/10
21/01/10
20/01/10
19/01/10
18/01/10
15/01/10
14/01/10
13/01/10
12/01/10
11/01/10
08/01/10
07/01/10
06/01/10
05/01/10
04/01/10
31/12/09
30/12/09
29/12/09
24/12/09
23/12/09
22/12/09
21/12/09
18/12/09
17/12/09
16/12/09
15/12/09
14/12/09
11/12/09
10/12/09
09/12/09
08/12/09
07/12/09
04/12/09
03/12/09
02/12/09
01/12/09
30/11/09
27/11/09
26/11/09
25/11/09
24/11/09
23/11/09
20/11/09
19/11/09
18/11/09
17/11/09
16/11/09
13/11/09
12/11/09
11/11/09
10/11/09
09/11/09
06/11/09
05/11/09
04/11/09
03/11/09
02/11/09
30/10/09
29/10/09
28/10/09
27/10/09
26/10/09
23/10/09
22/10/09
21/10/09
20/10/09
19/10/09
16/10/09
15/10/09
14/10/09
13/10/09
12/10/09
09/10/09
08/10/09
07/10/09
06/10/09
05/10/09
02/10/09
01/10/09
30/09/09
29/09/09
28/09/09
25/09/09
24/09/09
23/09/09
22/09/09
21/09/09
18/09/09
17/09/09
16/09/09
15/09/09
14/09/09
11/09/09
10/09/09
09/09/09
08/09/09
07/09/09
04/09/09
03/09/09
02/09/09
01/09/09
31/08/09
28/08/09
27/08/09
26/08/09
25/08/09
24/08/09
21/08/09
20/08/09
19/08/09
18/08/09
17/08/09
14/08/09
13/08/09
12/08/09
11/08/09
10/08/09
07/08/09
06/08/09
05/08/09
04/08/09
03/08/09
31/07/09
30/07/09
29/07/09
28/07/09
27/07/09
24/07/09
23/07/09
22/07/09
21/07/09
20/07/09
17/07/09
16/07/09
15/07/09
14/07/09
13/07/09
10/07/09
09/07/09
08/07/09
07/07/09
06/07/09
03/07/09
02/07/09
01/07/09
30/06/09
29/06/09
26/06/09
25/06/09
24/06/09
23/06/09
22/06/09
19/06/09
18/06/09
17/06/09
16/06/09
15/06/09
12/06/09
11/06/09
10/06/09
09/06/09
08/06/09
05/06/09
04/06/09
03/06/09
02/06/09
01/06/09
29/05/09
28/05/09
27/05/09
26/05/09
25/05/09
22/05/09
21/05/09
20/05/09
19/05/09
18/05/09
15/05/09
14/05/09
13/05/09
12/05/09
11/05/09
08/05/09
07/05/09
06/05/09
05/05/09
04/05/09
01/05/09
30/04/09
29/04/09
28/04/09
27/04/09
24/04/09
23/04/09
22/04/09
21/04/09
20/04/09
17/04/09
16/04/09
15/04/09
14/04/09
09/04/09
08/04/09
07/04/09
06/04/09
03/04/09
02/04/09
01/04/09
31/03/09
30/03/09
27/03/09
26/03/09
25/03/09
24/03/09
23/03/09
20/03/09
19/03/09
18/03/09
17/03/09
16/03/09
13/03/09
12/03/09
11/03/09
10/03/09
09/03/09
06/03/09
05/03/09
04/03/09
03/03/09
02/03/09
27/02/09
26/02/09
25/02/09
24/02/09
23/02/09
20/02/09
19/02/09
18/02/09
17/02/09
16/02/09
13/02/09
12/02/09
11/02/09
10/02/09
09/02/09
06/02/09
05/02/09
04/02/09
03/02/09
02/02/09
30/01/09
29/01/09
28/01/09
27/01/09
26/01/09
23/01/09
22/01/09
21/01/09
20/01/09
19/01/09
16/01/09
15/01/09
14/01/09
13/01/09
12/01/09
09/01/09
08/01/09
07/01/09
06/01/09
05/01/09
02/01/09
31/12/08
30/12/08
29/12/08
24/12/08
23/12/08
22/12/08
19/12/08
18/12/08
17/12/08
16/12/08
15/12/08
12/12/08
11/12/08
10/12/08
09/12/08
08/12/08
05/12/08
04/12/08
03/12/08
02/12/08
01/12/08
28/11/08
27/11/08
26/11/08
25/11/08
24/11/08
21/11/08
20/11/08
19/11/08
18/11/08
17/11/08
14/11/08
13/11/08
12/11/08
11/11/08
10/11/08
07/11/08
06/11/08
05/11/08
04/11/08
03/11/08
31/10/08
30/10/08
29/10/08
28/10/08
27/10/08
24/10/08
23/10/08
22/10/08
21/10/08
20/10/08
17/10/08
16/10/08
15/10/08
14/10/08
13/10/08
10/10/08
09/10/08
08/10/08
07/10/08
06/10/08
03/10/08
02/10/08
01/10/08
30/09/08
29/09/08
26/09/08
25/09/08
24/09/08
23/09/08
22/09/08
19/09/08
18/09/08
17/09/08
16/09/08
15/09/08
12/09/08
11/09/08
10/09/08
09/09/08
08/09/08
05/09/08
04/09/08
03/09/08
02/09/08
01/09/08
29/08/08
28/08/08
27/08/08
26/08/08
25/08/08
22/08/08
21/08/08
20/08/08
19/08/08
18/08/08
15/08/08
14/08/08
13/08/08
12/08/08
11/08/08
08/08/08
07/08/08
06/08/08
05/08/08
04/08/08
01/08/08
31/07/08
30/07/08
29/07/08
28/07/08
25/07/08
24/07/08
23/07/08
22/07/08
21/07/08
18/07/08
17/07/08
16/07/08
15/07/08
14/07/08
11/07/08
10/07/08
09/07/08
08/07/08
07/07/08
04/07/08
03/07/08
02/07/08
01/07/08
30/06/08
27/06/08
26/06/08
25/06/08
24/06/08
23/06/08
20/06/08
19/06/08
18/06/08
17/06/08
16/06/08
13/06/08
12/06/08
11/06/08
10/06/08
09/06/08
06/06/08
05/06/08
04/06/08
03/06/08
02/06/08
30/05/08
29/05/08
28/05/08
27/05/08
26/05/08
23/05/08
22/05/08
21/05/08
20/05/08
19/05/08
16/05/08
15/05/08
14/05/08
13/05/08
12/05/08
09/05/08
NAV
22.334504
Daily NAV Change
-0.08
Daily NAV Change (%)
-0.38%
Total Return NAV
22.768355
Total Net Assets (000)
187,610
Shares Outstanding
8,400,000
Index Level
139.084 USD
View History
Performance Chart
These values are individually rounded.
Performance Chart
Currency: USD
London Stock Exchange
Fund Identifiers
ISIN
IE00B2QWDY88
SEDOL
B2QWDY8
Bloomberg Code
ISJP LN
Bloomberg iNAV
INAVSPG
RIC
ISJP.L
Reuters iNAV
MXJGBP=INAV
ISIN of iNAV
DE000A0SYTG7
London Stock Exchange
Exchange Information
Funds Ticker
ISJP
Fund Currency on Exchange
GBP
Initial Listing Date
12/05/08
On Exchange Market Makers
Flow Traders B.V.
Susquehanna International Securities
Registered Countries
Austria
Luxembourg
France
Netherlands
Germany
United Kingdom
As with other investments, investors should be aware that the price of your investment (which may trade in limited markets) may go down as well as up and you may not get back the amount you invested. In addition your income is not fixed and may fluctuate. Investors are advised to seek the advice of an independent financial advisor in assessing the suitability of iShares as an investment.