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iShares MSCI Japan GBP Hedged UCITS ETF (Acc)

IJPH

Tracks: MSCI Developed - Japan - 100% GBP NET Hedged Index

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AUM

TER

0.64%

YTD Return

+21.36%

Currency

Replication

Sampled

Inception

2012-07-31

Dividend

Accumulating

Domicile

Ireland

Asset Class

Equity

Classification

Asset ClassEquity
Management StylePassive (Index)
DistributionAccumulating
Geographic FocusSingle Country · Japan · JP
IndexMSCI Developed - Japan - 100% Index
Currency TreatmentHedged to GBP
ReplicationPhysical — Optimised Sampling
Legal StructureUCITS
UCITS EligibleYes

Equity Details

StyleBlend

The Fund seeks to track the performance of an index composed of Japanese companies which also hedges JPY currency in the index back to GBP on a monthly basis.

as of 2026-07-28

2026 (6M)

+21.36%

YTD

+21.36%

30-Day

Monthly Returns

YearJanFebMarAprMayJunJulAugSepOctNovDecAnnual
2026+5.08%+10.22%-10.59%+7.71%+6.75%+1.93%
2025+0.37%-3.77%-0.28%+0.68%+5.40%+2.06%+3.02%+4.60%+3.28%+7.96%+0.79%+1.27%+27.93%
2024+8.53%+5.74%+4.11%-0.21%+1.52%+1.94%-0.67%-2.44%-1.98%+2.80%-0.54%+4.60%+25.35%
2023+4.88%+1.03%+1.83%+3.02%+4.62%+7.66%+1.66%+0.40%+0.76%-2.62%+6.18%-0.01%+33.10%
2022-5.09%-1.17%+4.61%-2.48%+0.95%-2.64%+4.09%+1.18%-6.26%+5.60%+3.29%-5.16%-3.96%
2021+0.32%+3.20%+4.78%-2.62%+1.56%+1.12%-2.41%+3.14%+4.32%-1.21%-3.02%+3.22%+12.64%
2020-1.60%-9.87%-7.53%+4.42%+6.84%+0.08%-3.51%+7.72%+0.49%-2.56%+11.87%+3.03%+7.43%
2019+5.16%+2.18%-0.04%+2.06%-6.68%+2.97%+0.96%-3.29%+5.76%+4.74%+1.86%+1.38%+17.63%
2018+1.30%-3.94%-3.01%+4.29%-1.76%-0.61%+1.45%-0.71%+5.45%-9.25%+1.05%-10.09%-15.84%
2017+0.16%+0.45%-0.79%+1.13%+2.18%+2.62%+0.31%-0.48%+3.99%+5.59%+1.41%+1.35%+19.25%
2016-7.91%-9.89%+4.25%-0.41%+2.44%-11.31%+6.43%+1.31%-0.50%+5.24%+5.22%+3.32%-3.90%
2015+0.32%+7.61%+1.98%+3.25%+4.92%-3.01%+1.73%-8.15%-8.08%+10.55%+1.14%-2.17%+8.67%
2014-6.97%-0.44%-0.35%-3.39%+3.62%+4.67%+2.09%-1.19%+4.67%+0.88%+5.56%-0.41%+8.29%
2013+9.03%+3.93%+6.68%+11.95%-2.34%+0.06%-0.37%-2.32%+8.06%-0.04%+5.54%+3.35%+51.63%
2012-0.49%+1.65%+0.82%+5.38%+9.66%