Securities Report (Domestic Investment Trust Beneficiary Certificates) - 64th Period (2025/02/20-2026/02/19)
Key facts
- Securities Report (Domestic Investment Trust Beneficiary Certificates) - 64th Period (2025/02/20-2026/02/19)
- Asset Management One Co., Ltd. has published the Securities Report for Domestic Investment Trust Beneficiary Certificates for the 64th period (2025/02/20-2026/02/19).
- Source: PR Times
- Date: May 19, 2026
Direct answer
Asset Management One Co., Ltd. has published the Securities Report for Domestic Investment Trust Beneficiary Certificates for the 64th period (2025/02/20-2026/02/19).
- Citation
- Securities Report (Domestic Investment Trust Beneficiary Certificates) - 64th Period (2025/02/20-2026/02/19) (May 19, 2026), PR Times
- Source
- PR Times
- Date
- May 19, 2026
Asset Management One Co., Ltd. has published the Securities Report for Domestic Investment Trust Beneficiary Certificates for the 64th period (2025/02/20-2026/02/19).
📋 Article Processing Timeline
- 📰 Published: May 19, 2026 at 18:02
- 🔍 Collected: May 19, 2026 at 09:31
- 🤖 AI Analyzed: May 19, 2026 at 09:43 (11 min after Collected)
Asset Management One Co., Ltd. Securities Report (Domestic Investment Trust Beneficiary Certificates) - 64th Period (2025/02/20-2026/02/19)
Asset Management One Co., Ltd. has filed the Securities Report for the 64th period of the investment trust (from Feb 20, 2025, to Feb 19, 2026). This report discloses the management status and asset conditions of the investment trust to investors in accordance with regulations.
Asset Management One Co., Ltd. has filed the Securities Report for the 64th period of the investment trust (from Feb 20, 2025, to Feb 19, 2026). This report discloses the management status and asset conditions of the investment trust to investors in accordance with regulations.
FAQ
What is the report's period?
From February 20, 2025, to February 19, 2026.
Where can I check the details?
On the official Asset Management One website or EDINET.
What kind of information is included?
It includes performance, financial status, and investment risks.