Code |
|
|
Asset | ||
Underlying Assets | ||
Name | ||
Related Information | Details | Quote | |
Nominal | 20.040 (As at Date:23/01/2025 09:05) |
|
Board Lot Size | 500 | |
Admission Fee | 10,020 | |
Net Asset Value | 19.990 HKD (As at Date:22/01/2025) |
|
Premium/Discount | +0.25% | |
% Yield | 3.842 | |
Trust Unit Outstanding (Million) | 7,136.993 (As at Date:22/01/2025) |
|
Total Net Asset (Million) | 142,665.962 HKD (As at Date:22/01/2025 ) |
|
Fund Manager | Hang Seng Investment Management Limited | |
Performance of Return | ||
1 mth | 1.96% | |
3 mths | -0.59% | |
6 mths | 13.14% | |
1 yr | 30.17% | |
3 yrs | -9.37% | |
ETF Details | ||
Base Currency | HKD | |
Trading Currency | HKD | |
Type of ETF | Physical | |
Dividend Policy | Semi-Year | |
Short Sell | Allowed | |
Derivatives Issuer | N/A | |
Listing Date | 12/11/1999 | |
Management Fee | 0.045% p.a. maximum | |
Stamp Duty | Remission in full | |
Market Maker | Barclays Bank PLC Barclays Capital Securities Limited BNP Paribas Securities (Asia) Limited Citadel Securities (Hong Kong) Limited Citigroup Global Markets Asia Limited CLSA Limited Eclipse Options (HK) Limited Flow Traders Hong Kong Limited Graviton Research Capital (Singapore) Pte. Ltd. HSBC Securities Brokers (Asia) Limited |