| February 17, 2026Disclosures |
Notice of the Split in Beneficial Interests and Change in Trading Units of ETFs(172KB)
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| February 17, 2026Disclosures |
Notice of Changes in Display Units of NAV for Exchange Traded Funds(96KB)
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| February 17, 2026Disclosures |
Notice of a Change to the Basic Terms and Conditions of the Trust Deed of the Exchange Traded Fund(96KB)
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| February 17, 2026Disclosures |
Notice of a Material Deviation between NAV and Market Price of NEXT FUNDS Nikkei 300 Index Exchange Traded Fund(118KB)
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| February 5, 2026Disclosures |
Notice of a Material Deviation between NAV and Market Price of NEXT FUNDS Nikkei 300 Index Exchange Traded Fund(117KB)
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| February 2, 2026Disclosures |
Notice of a Change to the Attachment Item of the Basic Terms and Conditions of the Trust Deed of NEXT FUNDS ChinaAMC SSE50 Index Exchange Traded Fund(93KB)
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| January 27, 2026Disclosures |
Notice of a Material Deviation between NAV and Market Price of NEXT FUNDS Nikkei 300 Index Exchange Traded Fund(118KB)
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| January 16, 2026Disclosures |
Notice of a Material Deviation between NAV and Market Price of NEXT FUNDS Nikkei 300 Index Exchange Traded Fund(118KB)
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| December 24, 2025Disclosures |
Notice of a Material Deviation between NAV and Market Price of NEXT FUNDS Nikkei 300 Index Exchange Traded Fund(117KB)
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| December 15, 2025Disclosures |
Notice of a Material Deviation between NAV and Market Price of NEXT FUNDS Nikkei 300 Index Exchange Traded Fund(117KB)
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