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Hot Leveraged and Inverse Products
Leveraged and Inverse Products
CodeNameUnderlying AssetNominal%ChangeTurnoverNAV
(Discount)
Related Information
07373XICAMCSI300
-1x
CSI 300 IndexdownHKD
6.690
-0.520%5,3447.018
(-4.67%)
Details | Quote
07226XL2CSOPHSTECH
+2x
Hang Seng TECH IndexdownHKD
4.336
-4.829%559.734M4.507
(-3.79%)
Details | Quote
07322XI GX S&P500
-1x Suspension
S&P 500 IndexunchangeHKD
6.600
0.000%0.0006.701
(-1.51%)
Details | Quote
07234XL2 BOS CHINEXT
+2x
SZSE ChiNext Index (HKD)(CNH)downHKD
6.475
-2.411%0.0006.567
(-1.40%)
Details | Quote
07505XI2CSOPUSOILGAS
-2x
Solactive US Large Oil & Gas Companies Index NTRupHKD
7.950
+0.063%0.0008.035
(-1.06%)
Details | Quote
07200FL2 CSOP HSI
+2x
Hang Seng IndexdownHKD
3.618
-1.148%254.513M3.653
(-0.96%)
Details | Quote
07333XICSOPCSI300
-1x
CSI 300 IndexdownHKD
7.465
-0.599%245,0187.536
(-0.94%)
Details | Quote
07336FI GX HSI
-1x Suspension
Hang Seng IndexunchangeHKD
6.320
0.000%0.0006.375
(-0.86%)
Details | Quote
07522FI2CAMNDQ100
-2x
NASDAQ 100 IndexdownHKD
2.314
-0.259%3.806M2.332
(-0.77%)
Details | Quote
07348XI CSOP A50
-1x
FTSE China A50 IndexdownHKD
9.705
-0.868%99,1219.778
(-0.75%)
Details | Quote
07568FI2CSOPNASDAQ
-2x
NASDAQ 100 IndexdownHKD
15.820
-0.315%12.569M15.934
(-0.72%)
Details | Quote
07374FI CSOPGOLD
-1x
Solactive Gold 1-Day Rolling Futures IndexupHKD
7.605
+0.066%0.0007.658
(-0.69%)
Details | Quote
07231FL2 GX HSI
+2x Suspension
Hang Seng IndexunchangeHKD
3.428
0.000%0.0003.450
(-0.64%)
Details | Quote
07331FICAMNDQ100
-1x
NASDAQ 100 IndexdownHKD
4.240
-0.094%0.0004.264
(-0.56%)
Details | Quote
07345FI CSOP OIL
-1x
Solactive WTI 1-Day Rolling Futures IndexdownHKD
4.404
-1.034%638,9604.429
(-0.56%)
Details | Quote
07362FI GX HSCEI
-1x Suspension
Hang Seng China Enterprises IndexunchangeHKD
7.500
0.000%0.0007.542
(-0.56%)
Details | Quote
07230FL2 GX HSCEI
+2x Suspension
Hang Seng China Enterprises IndexunchangeHKD
1.848
0.000%0.0001.857
(-0.48%)
Details | Quote
Remark: Quote data is at least 15-min delayed. Data updated on 25/11/2022 16:40
  Fund return is not including dividend. Data updated on 25/11/2022 08:00
  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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