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ETF Comparison
Code
Asset
Underlying Assets
Name
Related Information Details | Quote  
Nominal 20.300
(As at Date:24/12/2024 16:40)
 
Board Lot Size 500  
Admission Fee 10,150  
Net Asset Value 20.030 HKD
(As at Date:23/12/2024)
 
Premium/Discount +1.35%  
% Yield 3.793  
Trust Unit Outstanding (Million) 7,076.993
(As at Date:23/12/2024)
 
Total Net Asset (Million) 141,750.392 HKD
(As at Date:23/12/2024 )
 
Fund Manager Hang Seng Investment Management Limited  
Performance of Return
1 mth 0.91%  
3 mths 13.59%  
6 mths 12.50%  
1 yr 24.39%  
3 yrs -9.84%  
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
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
IMC Asia Pacific Limited
 
Remark: Quote data is at least 15-min delayed
Fund return is not including dividend. Data updated on: 23/12/2024 08:02
Net asset value is subjected to the latest information released by issuers and daily updated. Beware of delayed calculation of Premium/Discount(%).
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