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Default1345Listed Index Fund J-REIT (Tokyo Stock Exchange REIT Index)Bi-Monthly Dividend Payment Type

Listed Index Fund J-Reit (tokyo Stock Exchange Index)bi-monthly Dividend Payment Type Announces Bi-Monthly Dividends for July 2026

TOKYO, Jul 08 (Pulse News Wire) – Listed Index Fund J-reit (tokyo Stock Exchange Reit Index)bi-monthly Dividend Payment Type (1345.T) has finalized dividend payments for the bi-monthly period ending J

– Listed Index Fund J-reit (tokyo Stock Exchange Reit Index)bi-monthly Dividend Payment Type (1345.T) has finalized dividend payments for the bi-monthly period ending July 8, 2026. The fund will distribute dividends based on the performance of various underlying indices during the calculation periods ranging from July 9, 2025, to July 8, 2026.

For instance, the Topix Index Fund (TICKER_0) will distribute ¥80 per share, while the Nikkei 225 Index Fund (TICKER_1) will distribute ¥829. Other funds such as the Nikkei Semiconductor Stock Index Fund (213A) will distribute ¥0 per share, and the US Stocks Dow Average Currency Hedge-Free Index Fund (TICKER_6) will distribute ¥37 per share.

Detailed distribution amounts for each index fund are outlined in the announcement. Dividend payouts are scheduled to begin on August 14, 2026.

This marks another regular dividend payout cycle for Listed Index Fund J-reit (tokyo Stock Exchange Reit Index)bi-monthly Dividend Payment Type, reflecting consistent returns across its diversified portfolio of index-linked securities.

PDFOriginal disclosureTDnet filing · Japanese · 18:35 JSTView original ↗
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