Japan Stock Funds Companies By Pb Ratio

Net AssetEfficiencyMarket RiskExp Return
1RJAIX T Rowe Price
832.7 M
(0.03)
 1.27 
(0.04)
2FJPNX Fidelity Japan Fund
706.07 M
(0.07)
 1.30 
(0.09)
3DFJSX Japanese Small Pany
689.24 M
(0.07)
 0.97 
(0.07)
4FIQLX Fidelity Japan Fund
651.95 M
(0.07)
 1.30 
(0.09)
5MIJFX Matthews Japan Fund
624.88 M
(0.04)
 1.38 
(0.06)
6MJFOX Matthews Japan Fund
624.88 M
(0.04)
 1.37 
(0.06)
7PRJPX T Rowe Price
490.21 M
(0.03)
 1.27 
(0.04)
8FJSCX Fidelity Japan Smaller
453.55 M
(0.05)
 1.11 
(0.05)
9FSJPX Fidelity Sai Japan
445.13 M
(0.06)
 1.28 
(0.08)
10FJPTX Fidelity Japan Fund
414.26 M
(0.07)
 1.31 
(0.09)
11FJPIX Fidelity Japan Fund
414.26 M
(0.07)
 1.30 
(0.09)
12FPJAX Fidelity Japan Fund
414.26 M
(0.07)
 1.30 
(0.09)
13TRZJX T Rowe Price
321.84 M
(0.03)
 1.26 
(0.04)
14HJPIX Hennessy Japan Fund
288.93 M
(0.04)
 1.51 
(0.05)
15HJPNX Hennessy Japan Fund
288.93 M
(0.04)
 1.50 
(0.06)
16GMAHX Gmo Usonian Japan Value
113.37 M
(0.09)
 1.04 
(0.09)
17GMAKX Gmo Usonian Japan Value
113.37 M
(0.09)
 1.04 
(0.10)
18GMIIX Gmo Usonian Japan Value
113.37 M
(0.09)
 1.04 
(0.09)
19HJPSX Hennessy Japan Small
108.79 M
(0.02)
 1.08 
(0.02)
20RMBPX Rmb Japan Fund
23.63 M
(0.07)
 1.39 
(0.10)
The analysis above is based on a 90-day investment horizon and a default level of risk. Use the Portfolio Analyzer to fine-tune all your assumptions. Check your current assumptions here.
Net Asset is the current market value of a fund less its liabilities. In a nutshell, if the fund is liquidated or all of the assets is sold out, the net asset will be the amount that the shareholders would demand back from the fund. Net Asset is the value used in calculating NAV of a fund. NAV (or Net Asset Value) is computed once a day based on the formula that uses closing prices of all positions in the fund's portfolio.