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Amundi Japan TOPIX II UCITS ETF JPY DistLYJPN · FR0010377028×Amundi Japan TOPIX II UCITS ETF EUR DistJPN · FR0010245514×
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Performance over the common period — in euro, dividends reinvested where declared (base 100)

Note — currency risk: some of the funds compared are denominated (or hedged) in currencies other than the euro. For a euro investor, returns also depend on currency moves, up or down. Chart and performance, converted to euro at ECB rates, already include these moves: swings of a class hedged to another currency reflect FX, not strategy.

-5%+67%+139%+211%+283%Oct 2012Mar 2016Sept 2019Mar 2023Sept 2026+281%+277%
LYJPN+276.6%JPN+280.9%hover for values · click = full screentouch the chart for values · ⤢ = full screen
Amundi Japan TOPIX II UCITS ETF JPY Dist
LYJPN · FR0010377028
Amundi Japan TOPIX II UCITS ETF EUR Dist
JPN · FR0010245514
Basics
Declared indexTopix Total Return Index JPYTopix Total Return Index JPY
TER0.45%0.45%
Transaction costs (KID)0.05%0.05%
Fund size133 mln EUR429 mln EUR
Launch date19 Sept 201819 Sept 2018
ReplicationPhysicalPhysical
Income policyDistributingDistributing
CurrencyJPYEUR
Currency hedgingNo no hedging declared in the share classNo no hedging declared in the share class
Italian taxation
Effective capital-gains rate26.00%
White-list share0.00%
Performance (in euro)
1 year+29%+29.2%
3 years+59%+59.8%
5 years+61.3%+62.1%
10 years+127.1%+130.7%
Since launch (available series)+276.6%+280.9%
Risk
Volatility (ann.) · last year20.69%20.17%
Volatility (ann.) · last 3 years21.74%21.58%
Volatility (ann.) · last 5 years19.69%19.79%
Max drawdown · last year-11.51%-11.41%
Max drawdown · last 3 years-24.06%-18.93%
Max drawdown · last 5 years-24.06%-21.05%
Sharpe · last year1.531.34
Sharpe · last 3 years0.870.66
Sharpe · last 5 years0.750.41
Sortino · last year2.271.98
Sortino · last 3 years1.220.93
Sortino · last 5 years1.060.57
Tracking difference (3-year avg)-0.97%-0.91%
Distributions (distributing classes)
Frequencyannualannual
Distributions, last 12 months233.00 JPY per share1.30 EUR per share
Distribution yield (12 months / NAV)0.58%0.58%
Last ex-date9 Dec 2025 · 233.00 JPY9 Dec 2025 · 1.30 EUR
Holdings
Securities held1,4781,478
Top-10 weight23.6%23.6%
Documents & exchanges
KID (PDF)DownloadDownload
Listing exchanges1 (issuer-declared — non-EU venue, outside the ESMA register)10
Borsa Italiana tickerJPN
Performance and chart converted to euro at official daily ECB rates: the comparison a euro investor actually lives. Facts declared by issuers and official registers only; no recommendation. Past performance is not indicative of future results. Metrics follow the site’s public methodology; for distributing funds, performance reinvests dividends where the issuer declares the total-return series.
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