(1320 JP)iFreeETF Nikkei225 (Yearly Dividend Type)

iFreeETF Nikkei225 Application flow for Creation & Redemption

  T-3 Days T-2 Days T-1 Days T Days T+2 Days
Application period for creation
  Settlement
Application for creation *Basket indication day   Fixing number of units
Investors expression of Interest   Acceptance of creation application
Redemption Request Period for exchange request
   
  Investors expression of Interest   Fixing the basket,fixing number of stocks to be delivered
Provisional basket indication day Acceptance of redemption request

*The basket will not be indicated in case creation/redemption request acceptance counter is closed.

iFreeETF Nikkei225 Application for Creation / Redemption basket data links

May 07, Application for creation / redemption. May 08, Settlement date

Creation basket
Basket indication day April 30, 2024
Number of issues 225
Total number of stocks 267,200
Redemption basket
Basket indication day April 30, 2024
Number of issues 225
Total number of stocks 267,200
Number of units to be redeemed 29,550
If the creation basket includes securities which shall be substituted by cash, "C" is marked on the column of those securities.
The basket quoted on indication day (T-3Days) is for 1 unit of application and calculated for the purpose of reference only. Until the day of acceptance of redemption requests, fluctuations in stock prices and the number of redemption requests received may impact the real exchange basket which could vary from the basket indicated above for reference. Redemption basket will be finalized on the day of application (T Day)

May 02, Application for creation / redemption. May 07, Settlement date

Creation basket
Basket indication day April 26, 2024
Number of issues 225
Total number of stocks 267,200
Redemption basket
Basket indication day April 26, 2024
Number of issues 225
Total number of stocks 267,200
Number of units to be redeemed 29,550
If the creation basket includes securities which shall be substituted by cash, "C" is marked on the column of those securities.
The basket quoted on indication day (T-3Days) is for 1 unit of application and calculated for the purpose of reference only. Until the day of acceptance of redemption requests, fluctuations in stock prices and the number of redemption requests received may impact the real exchange basket which could vary from the basket indicated above for reference. Redemption basket will be finalized on the day of application (T Day)

May 01, Application for creation / redemption. May 02, Settlement date

Creation basket
Basket indication day April 25, 2024
Number of issues 225
Total number of stocks 267,200
Redemption basket
Basket indication day April 25, 2024
Number of issues 225
Total number of stocks 267,200
Number of units to be redeemed 29,550
If the creation basket includes securities which shall be substituted by cash, "C" is marked on the column of those securities.
The basket quoted on indication day (T-3Days) is for 1 unit of application and calculated for the purpose of reference only. Until the day of acceptance of redemption requests, fluctuations in stock prices and the number of redemption requests received may impact the real exchange basket which could vary from the basket indicated above for reference. Redemption basket will be finalized on the day of application (T Day)

April 30, Application for creation / redemption. May 01, Settlement date

Creation basket
Basket indication day April 24, 2024
Number of issues 225
Total number of stocks 267,200
Redemption basket
Basket indication day April 24, 2024
Number of issues 225
Total number of stocks 267,200
Number of units to be redeemed 29,550
If the creation basket includes securities which shall be substituted by cash, "C" is marked on the column of those securities.
The basket quoted on indication day (T-3Days) is for 1 unit of application and calculated for the purpose of reference only. Until the day of acceptance of redemption requests, fluctuations in stock prices and the number of redemption requests received may impact the real exchange basket which could vary from the basket indicated above for reference. Redemption basket will be finalized on the day of application (T Day)

April 26, Application for creation / redemption. April 30, Settlement date

Creation basket
Basket indication day April 23, 2024
Number of issues 225
Total number of stocks 267,200
Redemption basket
Basket indication day April 23, 2024
Number of issues 225
Total number of stocks 267,200
Number of units to be redeemed 29,550
If the creation basket includes securities which shall be substituted by cash, "C" is marked on the column of those securities.
The basket quoted on indication day (T-3Days) is for 1 unit of application and calculated for the purpose of reference only. Until the day of acceptance of redemption requests, fluctuations in stock prices and the number of redemption requests received may impact the real exchange basket which could vary from the basket indicated above for reference. Redemption basket will be finalized on the day of application (T Day)

iFreeETF Nikkei225 Calendar for Creation / Redemption

  • Non-acceptance days of application for Creation (C)
  • Non-acceptance days of request for Redemption(R)
  • Acceptance days of application for creation Mixed with cash (M)
    (Some of the securities in the creation basket shall be substituted by cash)
  • Ex-dividend or ex-rights securities' portion in the creation basket shall be substituted by cash, equivalent to the market value. Please refer to disclosed basket data links for the specific name of the securities.
  • For unmarked business days of the calendar, application for creation with all-securities basket / request for redemption will be accepted.

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iFreeETF Nikkei225 Application Units(Creation / Redemption)

Application units

Creation
Subscribers may apply for new units with integer multiples of a basket at the time of application for creation.

*Application basket: The management company designates it as a standard unit of specified stocks composing Nikkei225 with a certain proportion equivalent to the ratio of its composition in Nikkei225.



Redemption
When unitholders request to redeem ETF certificates to the distributor, such unitholders shall provide certain integer multiple of the number of units specified by the management company. This shall be performed in a predetermined manner of the distributer.

Cash redemption
Unitholders can not claim for any cash redemption of ETF to the management company during the trust period.

Unit price

Creation / Redemption
NAV on the day of application accepted (T Day)

Trading on exchange
Trading price at exchange

Application time deadline

3 P.M.(Please confirm the procedures with each distributor)

iFreeETF Nikkei225 Authorized participants (distributors)

  • JPMorgan Securities
  • Daiwa Securities
  • Citi Group Global Markets Japan
  • Mizuho Securities
  • BofA Securities Japan
  • UBS Securities Japan
  • SMBC Nikko Securities
  • ABN AMRO Clearing Securities
  • Goldman Sachs Securities
  • Societe Generale Securities
  • Nomura Securities
  • BNP Paribas Securities
  • Mitsubishi UFJ Morgan Stanley Securities
  • Morgan Stanley MUFG Securities
  • Tokai Tokyo Securities
  • Barclays Securities Japan
  • Jefferies Japan Securities