Securities Report (Domestic Investment Trust Beneficiary Certificates) - Period 2 (2025/09/26 - 2026/03/25)

Key facts

  • Securities Report (Domestic Investment Trust Beneficiary Certificates) - Period 2 (2025/09/26 - 2026/03/25)
  • Asset Management One Co., Ltd. has filed the second-period securities report (from September 26, 2025, to March 25, 2026) regarding domestic investment trust beneficiary certificates. The report details the trust's investment performance, financial status, and operational policies.
  • Source: PR Times
  • Date: June 25, 2026

Direct answer

Asset Management One Co., Ltd. has filed the second-period securities report (from September 26, 2025, to March 25, 2026) regarding domestic investment trust beneficiary certificates. The report details the trust's investment performance, financial status, and operational policies.

Citation
Securities Report (Domestic Investment Trust Beneficiary Certificates) - Period 2 (2025/09/26 - 2026/03/25) (June 25, 2026), PR Times
Source
PR Times
Date
June 25, 2026
Asset Management One Co., Ltd. has filed the second-period securities report (from September 26, 2025, to March 25, 2026) regarding domestic investment trust beneficiary certificates. The report details the trust's investment performance, financial status, and operational policies.

📋 Article Processing Timeline

  • 📰 Published: June 25, 2026 at 18:22
  • 🔍 Collected: June 25, 2026 at 13:29
  • 🤖 AI Analyzed: June 25, 2026 at 13:31 (2 min after Collected)
Asset Management One Co., Ltd. Securities Report (Domestic Investment Trust Beneficiary Certificates) - Period 2 (2025/09/26 - 2026/03/25)

This report presents the second-period securities report (from September 26, 2025, to March 25, 2026) filed by Asset Management One Co., Ltd. concerning domestic investment trust beneficiary securities. Prepared in accordance with the Financial Instruments and Exchange Act, the report aims to disclose essential information to investors and market participants, including investment performance, financial condition, risk factors, investment policies, fee structures, and asset composition of the trust.

The investment trust covered by this report primarily invests in domestic financial instruments such as equities, bonds, REITs, and public debt securities. The report provides detailed information on net asset value trends during the reporting period, dividend distribution records, investment returns, benchmark comparisons, major holdings, and risk management practices.

Additionally, the report discloses details of the trust agreement, including sales institutions, trust banks, investment advisors, compliance systems, internal control frameworks, and conflict-of-interest management policies. These disclosures are designed to support informed investment decision-making by investors.

Asset Management One Co., Ltd. will continue to maintain transparent disclosure practices, striving to enhance investor protection and build trust in the market.

FAQ

What is the purpose of this report?

To legally disclose investment performance and financial status for informed investor decisions.

Who should read this report?

Investors in the fund, financial advisors, regulators, and market participants.

Where can I find the report?

Available on Japan's EDINET system and Asset Management One's official website.