NAV per Unit( as of 11 Oct,2023)[5] | Last | Change[10] |
Change (%)[10] |
Historical |
RMB | RMB 2.0100 | RMB -0.0036 | -0.18% | Download |
HKD[7] |
HKD 2.1535 (Foreign Exchange Rate[8]:1.0714) |
HKD -0.0059 | -0.27% | Download |
Market Closing Price ( as of 11 Oct,2023) | Last | Change[6] | Change(%)[6] | Historical |
RMB | RMB 2.0140 | RMB -0.0060 | -0.30% | Download |
HKD | HKD 2.1560 | HKD -0.0040 | -0.19% | Download |
Benchmark Index( as of 10 Oct,2023) | Last | Change[9] | Change(%)[9] | Historical |
CSI Liquor Index (Net Total Return) | 17437.350 | -424.630 | -2.44% | Download |
[1] This is a near real time estimated NAV. This is provided by ICE Data Indices and is updated during Hong Kong Stock Exchange trading hours. The Estimated NAV per unit in RMB will not be updated when the underlying A shares market is closed.
[2] This is provided on at least 15 minutes delay basis by ICE Data Indices. Intra-day Market Price refers to the market price of E Fund (HK) CSI Liquor Index ETF on the date and at the time specified above, quoted from the Stock Exchange of Hong Kong (the 'SEHK').
[3] The near real time indicative Net Asset Value per Unit in RMB and HKD is indicative and for reference only. This is every 15 seconds updated during SEHK trading hours. The near real time indicative Net Asset Value per Unit in HKD uses a real time HKD:RMB foreign exchange rate – it is calculated using the near real time indicative Net Asset Value per Unit in RMB multiplied by a real-time HKD:RMB foreign exchange rate provided by ICE Data Indices when the SEHK is opened for trading. Since the indicative Net Asset Value per Unit in RMB will not be updated when the underlying A-Shares market is closed, the changes in the indicative Net Asset Value per Unit in HKD during such period is solely due to the change in the foreign exchange rate.
[4] It is calculated using the near real time indicative Net Asset Value per Unit in RMB multiplied by a real-time HKD:RMB foreign exchange rate provided by ICE Data Indices when the SEHK is opened for trading.
[5] This is provided by E Fund Management (HK) Co., Ltd. and NAV per Unit in RMB and HKD will not be updated when the underlying A shares market is closed.
[6] This is the change since previous SEHK trading day. Source of Market Closing Price: Bloomberg
[7] The last Net Asset Value per Unit in HKD is indicative and for reference only and is calculated using the last Net Asset Value per Unit in RMB multiplied by an assumed foreign exchange rate at 3:00 p.m. (Hong Kong time) quoted by Bloomberg for offshore RMB (CNH) as of the same Dealing Day. The official last Net Asset Value per Unit in RMB and HKD will not be updated when the underlying A-Shares market is closed.
[8] This is an assumed foreign exchange rate at 3:00 p.m. (Hong Kong time) quoted by Bloomberg for offshore RMB (CNH) as of the same Dealing Day and for reference only.
[9] Benchmark Index returns are for illustrative purpose only and are not indicative of future results. Benchmark Index returns do not reflect any management fees, transaction costs or expenses. Change in Index Closing Level indicates the change since last Hong Kong trading day’s closing level. This is provided by E Fund Management (HK) Co., Ltd.
[10] This is the change in NAV per Unit since previous dealing day when both Hong Kong Stock Exchange and the underlying A shares market are open for normal business. Please refer to the Prospectus for further details in this regard.
Stock code | 03189 | Exchange Listing | Hong Kong Stock Exchange - Main Board |
Fund Size(RMB) as of 11 Oct,2023 | 46,230,930.24 | Outstanding Units as of 11 Oct,2023 |
23,000,000 |
Management Fee (p.a.) |
0.80% p.a* | Manager | E Fund Management (Hong Kong) Co., Limited |
Stock code | 83189 | Exchange Listing | Hong Kong Stock Exchange - Main Board |
Fund Size(RMB) as of 11 Oct,2023 | 46,230,930.24 | Outstanding Units as of 11 Oct,2023 |
23,000,000 |
Management Fee (p.a.) |
0.80% p.a | Manager | E Fund Management (Hong Kong) Co., Limited |
Fund Listing / Dealing Date | 16 Feb,2023 | Exchange Listing | Hong Kong Stock Exchange - Main Board |
Time Zone | GMT +08:00 | Base Currency | RMB |
Trading Currency | HKD | Bloomberg Ticker | 03189.HK |
ISIN | HK0000907789 | Reuters Real Time Trading Code | 03189 HK |
Fund Listing / Dealing Date | 16 Feb,2023 | Exchange Listing | Hong Kong Stock Exchange - Main Board |
Time Zone | GMT +08:00 | Base Currency | RMB |
Trading Currency | RMB | Bloomberg Ticker | 83189 HK |
ISIN | HK0000907797 | Reuters Real Time Trading Code | 83189 HK |
Underlying Index | CSI Liquor Index(Net Total Return) * | Type of Index | Net Total Return |
Currency | RMB | Index Provider | CSI |
Bloomberg Ticker | SH399998 | Stock code | 03189 |
Underlying Index | CSI Liquor Index(Net Total Return) * | Type of Index | Net Total Return |
Currency | RMB | Index Provider | CSI |
Bloomberg Ticker | SH399998 | Stock code | 83189 |
Real Time Data
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Note:
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