Source disclosure: February 10, 2026

Listed Index Fund International Bond (FTSE WGBI) Monthly Dividend Payment Type [1677.T]

TOKYO, Feb 10 (Pulse News Wire) – Listed Index Fund International Bond (ftse Wgbi) Monthly Dividend Payment Type (1677.T), has finalized dividend payments for the calculation period ending February 10, 2026. For the period from November 11, 2025, to February 10, 2026, the fund will distribute dividends as follows: - U.S.

Treasury Bonds 0-2 Year Ladder (Unhedged) (2093.T): ¥40 per share (¥40 total) - Australian Government Bonds Hedged (2083.T): ¥35 per share (¥35 total) - Australian Government Bonds Unhedged (2084.T): ¥70 per share (¥70 total) - French Government Bonds Unhedged (2085.T): ¥60 per share (¥60 total) - French Government Bonds Hedged (2862.T): ¥29 per share (¥29 total) Dividends for the period from January 11, 2026, to February 10, 2026, will be distributed as follows: - Listed Index Fund International Bond (FTSE WGBI) Monthly Distribution Type (1677.T): ¥131 per share (¥1,310 total for 10 shares) Payment of dividends is scheduled to begin on March 19, 2026.

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