Unlocking Growth Potential: Why Hong Kong Investors Should Consider the Global X India Sector Leader ETF (3084/9084)
[For Hong Kong Investor Only] The Global X India Sector Leader ETF(3084/9084) $AGX印度(03084)$ $AGX印度-U(09084)$ is a high conviction strategy focusing on existing and emerging industry leaders within the Indian equity markets. We continue to see exciting opportunities for multi-decade growth, both in India’s economy and its equity markets. We believe that India’s superior demographics, rising middle class, low household debt, and low penetration, the creation of new jobs provide significant headroom for growth for leading organised players over a longer-term investment horizon. A key differentiator of our approach is the ability to generate insights for long-term alpha creation through our regional perspective as well as on-the-ground presence.
00:30 - India market has experienced robust growth over the past few years, what makes investing in India particularly compelling at this moment? How do you view the growth sustainability going forward?
03:16 - Can you provide an overview of our India Sector Leader ETF, including our key sectors? What’s our main investment strategy?
04:10 - What is the key differentiator of our product and approach? Why should investors choose our India Sector Leader ETF?
For more information, including the fund's prospectus, please visit:https://www.globalxetfs.com.hk/funds/india-sector-leader-active-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 risks. Past performance information presented is not indicative of future performance. The views and information discussed or referred in this Document are as of the date of publication. 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. 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 prospectus for details, including the risk factors. Issuer: Mirae Asset Global Investments (Hong Kong) Limited. This material has not been reviewed by the Securities and Futures Commission. Mentioning of securities is for the purpose of industry commentary only. Copyright © 2024 Mirae Asset Global Investments. All rights reserved.
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