ETF Comparison Tool
Selected Comparison Pairs:
1330
Change Pairs
Latest update: 24/01/2026
概要情報
Code
1330
Name
Listed Index Fund 225
Price
¥56000
Fund Administrator
Amova Asset Management
Management Expense Ratio
0.083%
Distribution Yield
1.53%
| P/E | P/B | P/S | P/C | |
|---|---|---|---|---|
| 1330 | 0.05 | 0.46 | 0.60 | 0.07 |
Sector Weight
1330
HayChat
How can I help you today?
ニュース要約
Try "give me a news recap"
市場パフォーマンス要約
Try "give me a market performance recap"
ポートフォリオパフォーマンス要約
Try "analyze my portfolio"
Accessed time: 0/10
Upgrade for unlimited prompts