XMUJ · Exchange-traded fund

Xtrackers MSCI Japan UCITS ETF

Xtrackers MSCI Japan UCITS ETF's most recent distribution was US$0.3336 per share, paid on 05 Mar 2026. Xtrackers MSCI Japan UCITS ETF usually pays a single distribution a year, in March. No further distribution has been declared yet — this page updates when the next one is filed.

Share class ISIN LU0927735406 · Xtrackers

Data updated 24 Jul 2026

Recent distributions

Dividend per share, as declared, since 2024. Hover a bar for its value; the table below is the full record, each row linked to its source filing.
DistributionAmountEx-dividendRecordPaymentSource
DistributionUS$0.333618 Feb 202619 Feb 202605 Mar 2026Filing ↗
DistributionUS$0.43120 Aug 202521 Aug 202504 Sep 2025Filing ↗
DistributionUS$0.183721 Feb 202422 Feb 202407 Mar 2024Filing ↗

Questions about Xtrackers MSCI Japan UCITS ETF distributions

How often does Xtrackers MSCI Japan UCITS ETF pay distributions?

Based on its filing history, Xtrackers MSCI Japan UCITS ETF usually pays a single distribution a year, in March. In recent years the payment months have been March. Dates can move year to year, so always check the specific distribution's timetable above.

What was Xtrackers MSCI Japan UCITS ETF's most recent distribution?

The most recent distribution recorded for Xtrackers MSCI Japan UCITS ETF was US$0.3336 per share, paid on 05 Mar 2026. Every figure is taken directly from the fund's own announcement and links back to it.

What is Xtrackers MSCI Japan UCITS ETF's ex-dividend date?

Xtrackers MSCI Japan UCITS ETF's most recent ex-dividend date is 18 Feb 2026. Buy the shares on or after this date and you are not entitled to that distribution — the seller keeps it.

Which fund share class does XMUJ refer to?

XMUJ is the London Stock Exchange ticker for Xtrackers MSCI Japan UCITS ETF, a share class with ISIN LU0927735406, part of the Xtrackers umbrella.

More ETF distribution dates

Every date and amount above is extracted from the fund’s own announcement, filed by Xtrackers, and links back to it. This is general information, not investment advice — always confirm against the issuer’s announcement before acting. Figures are shown in the currency the fund declared; a sterling equivalent appears only when the issuer itself stated one.

New to these dates? See ex-dividend dates explained and record date vs payment date.