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CodeNameUnderlying AssetNominal%ChangeTurnoverNAV
(Prem/Discount)
Related Information
07200FL2 CSOP HSI
+2x
Hang Seng IndexdownHKD
10.270
-1.628%169.473M10.457
(-1.79%)
Details | Quote
07226XL2CSOPHSTECH
+2x
Hang Seng TECH IndexdownHKD
6.830
-0.292%63.436M6.866
(-0.52%)
Details | Quote
07299FL2CSOPGOLD
+2x
Solactive Gold 1-Day Rolling Futures IndexdownHKD
8.310
-3.596%35.284M8.410
(-1.19%)
Details | Quote
07233XL2CSOPCSI300
+2x
CSI 300 IndexdownHKD
10.940
-2.321%25.822M11.259
(-2.83%)
Details | Quote
07288FL2 CSOP HSCEI
+2x
Hang Seng China Enterprises IndexdownHKD
7.580
-1.494%7.845M7.715
(-1.75%)
Details | Quote
07248XL2 CSOP A50
+2x
FTSE China A50 IndexdownHKD
7.050
-3.026%3.313M7.281
(-3.17%)
Details | Quote
07261FL2CAMDXNNDQ100
+2x
Break 1M Hi
NASDAQ 100 IndexupHKD
22.200
+2.778%1.610M21.613
(+2.72%)
Details | Quote
07272XL2CAMCSI300
+2x
CSI 300 IndexdownHKD
12.710
-2.005%645,25312.941
(-1.79%)
Details | Quote
07230FL2 GX HSCEI
+2x
Hang Seng China Enterprises IndexdownHKD
7.635
-1.293%439,4947.762
(-1.64%)
Details | Quote
07266FL2CSOPNASDAQ
+2x
Break 52W Hi
NASDAQ 100 IndexupHKD
17.280
+2.552%217,41016.927
(+2.09%)
Details | Quote
07232FL2FBFTTAIWAN
+2x
Break 52W Hi
FTSE Taiwan RIC Capped IndexupHKD
8.465
+1.256%81,9191.070
(--)
Details | Quote
07231FL2 GX HSI
+2x
Hang Seng IndexdownHKD
10.640
-1.573%31,89010.833
(-1.78%)
Details | Quote
Remark: Quote data is at least 15-min delayed. Data updated on 15/06/2021 16:40
  Fund return is not including dividend. Data updated on 15/06/2021 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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