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Japan - Funds

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Condition

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%

Frequency

Frequency

Delivery Method

Status

 NameSymbolLastChg. %Total AssetsTime
 Nomura Fund Wrap Bond Premium0P0001.8,167.000-0.07%237.9B02/05 
 Nomura Foreign Bond Index B Managed Account0P0000.10,311.000-0.80%235.63B02/05 
 Nomura PIMCO World Income Strategy Fund A Hedged D0P0001.9,808.000+0.40%238.38B02/05 
 Nomura Japan Bond Index Managed Account0P0000.9,378.000-0.07%166.02B02/05 
 Nomura US High Yleld Bond Fund US Dollar Dividend 0P0000.10,512.0000%127.17B02/05 
 Nomura India Bond Fund Dividend 1 Month0P0000.7,501.000-0.62%116.49B02/05 
 Nomura Fund Wrap Foreign Bond B0P0000.11,631.0000%104.24B02/05 
 Nomura PIMCO World Income Strategy Fund C Hedged D0P0001.8,115.000+0.40%82.45B02/05 
 Nomura Japan Bond Open SMA/EW0P0001.10,021.000-0.08%88.21B02/05 
 Nomura Foreign Bond Index Fund DC0P0000.23,319.000-0.80%80.47B02/05 
 Nomura PIMCO World Income Strategy Fund B UnHedged0P0001.17,041.000+0.61%91.67B02/05 
 Nomura Domestic Bond Index Fund NOMURA-BPI DC0P0000.11,892.000-0.07%64.22B02/05 
 Nomura Fund Wrap Wealth Square Bond Stable0P0001.9,020.000-0.06%58.47B02/05 
 Nomura PIMCO World Income Strategy Fund D UnHedged0P0001.13,168.000+0.61%64.75B02/05 
 Nomura US Government Bond Partial Ladder Fund A SM0P0001.7,950.000+0.38%38.8B02/05 
 Nomura Fund Wrap Foreign Bond A0P0000.8,538.0000%39.23B02/05 
 Nomura Fund Wrap Wealth Square Foreign Bond0P0001.14,310.000-0.92%39.29B02/05 
 Nomura Global High Yield Bond Fund Resource Countr0P0000.4,760.0000%36.55B02/05 
 Nomura DC FB Index Fund0P0000.16,554.000-0.80%34.3B02/05 
 Nomura US High Yleld Bond Fund Brazilian Real Divi0P0000.4,254.0000%32.96B02/05 
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