2022年7月期(202 2年1月11日~2022 年7月10日)決� �短信.pdf

140120220823522967.pdf
Preview of 2022年7月期(202 2年1月11日~2022 年7月10日)決� �短信
🔗 Source: www2.jpx.co.jp
📊 Size: 375 KB
👤 Author: y-takakuwa
⬇️ Downloads: 149

Summary

The Listed Index Fund US Bond (Currency Hedge) (Code: 1487) released its earnings report for the fiscal year ended July 2022. The report covers the period from January 11, 2022, to July 10, 2022. Key points include:

- Total assets: 43,907,861,852 JPY
- Total liabilities: 473,559,766 JPY
- Net assets: 43,434,302,086 JPY
- Net asset value per unit: 15,812 JPY
- Dividend per unit: 160 JPY
- No changes in accounting policies
- The fund's investment strategy is based on the S&P U.S. Treasury Bond 7-10 Year Index (TTM JPY Hedged)

The financial statements show a decrease in total assets and net assets compared to the previous fiscal year. The fund's operating revenue was △1,368,939,079 JPY, and the operating expenses were 24,485,065 JPY. The net income (loss) was △1,368,939,079 JPY. The surplus (deficit) at the end of the period was △6,053,338,664 JPY.

Description

The Listed Index Fund US Bond (Currency Hedge) (Code: 1487) released its earnings report for the fiscal year ended July 2022.

Technical Information

  • File Format: PDF
  • File Size: 375 KB
  • Pages: 7
  • Language: EN
  • Author: y-takakuwa
  • Total Downloads: 149
  • Last Updated: 3 weeks ago

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