[For Hong Kong Investor Only] The Solactive China Little Giant index combines robust criteria for stock selection and market performance. Here's why it stands out:
It includes companies that have been selected by the Chinese Ministry of Industry and Information Technology as "Little Giants," highlighting their potential for growth and innovation.
All constituent stocks are listed on either the Shanghai Stock Exchange or the Shenzhen Stock Exchange, ensuring transparency and accessibility for investors.
The index comprises the top 100 companies based on their total market capitalization, providing a diversified representation of the market.
Stocks with the highest average return on equity (ROE) over the past three fiscal years, ranking within the top 50, are included as constituents, emphasizing profitability and shareholder value.
To ensure liquidity, stocks included in the index must maintain a minimum average daily trading value of 20 million Hong Kong dollars over a six-month period.
The index is weighted by total market capitalization, which means that larger companies have a greater impact on the index's performance.
To manage risk, the index imposes a maximum limit of 5% on the weight of any single stock, promoting diversification and reducing concentration.
The index undergoes semi-annual rebalancing in January and July, ensuring that it remains up-to-date and aligned with market conditions.
Global X China Little Giant ETF (2815) offers a unique opportunity to gain exposure to high-potential Chinese companies while benefiting from a comprehensive and well-structured selection process. Stay tuned for more updates on this exciting investment opportunity
Explore Global X China Little Giants ETF (2815) and its risk factors: https://www.globalxetfs.com.hk/campaign/china-little-giant-etf/
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This material is intended for Hong Kong investors only. It is not a solicitation, offer or recommendation to buy or sell any security or other financial instrument. Investment involves risk. Past performance information presented is not indicative of future performance. Investing in the funds may expose to risks (if applicable) including general investment risk, equity market risk, sector/market concentration risk, active/passive investment management risk, tracking error risk, trading risk, risk in investing financial derivative instruments, securities lending risk, distributions paid out of capital or effectively out of capital risk.
Investors should refer to the fund’s offering document for further details, including the risk factors. Certain of the statements in this Document are our expectations and forward-looking statements. Such expectations, views and opinions may change without notice and are based on a number of assumptions which may or may not eventuate or prove to be accurate. Issuer: Mirae Asset Global Investments (Hong Kong) Limited. This material has not been reviewed by the SFC.
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