AMUNDI FTSE CHINA A50 INDEX ETF - Counter HKD
ISIN: HK0000308293 - Equities
As of 16/01/2018
Stock Code NAV (2) Currency AUM Management Fee (1)
82843 14.3241 RMB 479.86M RMB 0.48 %
2843 17.4253 HKD

(1) The Management fee includes trustee fee, custodian fee and registrar’s fee.

(2) The last closing Net Asset Value per Unit in HKD, is indicative and for reference only and is calculated by the Trustee using the official last closing NAV per Unit in RMB multiplied the fixing exchange rate provided by Bloomberg for offshore RMB (CNH) at 3:00 p.m. (Hong Kong time) as of the same dealing day.