Code | Name | Underlying Asset | Nominal | %Change![]() | Turnover | NAV (Prem/Discount) | Related Information | |
07332 | FIFBFTTAIWAN -1x | FTSE Taiwan RIC Capped Index | ![]() | HKD 4.582 | -2.052% | 2,291 | 0.584 (--) | Details | Quote |
07522 | FI2CAMNDQ100 -2x | NASDAQ 100 Index | ![]() | HKD 0.870 | -1.136% | 748,257 | 0.864 (+0.69%) | Details | Quote |
07568 | FI2CSOPNASDAQ -2x | NASDAQ 100 Index | ![]() | HKD 5.770 | -1.114% | 4.106M | 5.733 (+0.65%) | Details | Quote |
Remark: | Quote data is at least 15-min delayed. Data updated on 23/07/2024 14:05 |
Fund return is not including dividend. Data updated on 22/07/2024 08:02 | |
Net asset value is subjected to the latest information released by issuers and daily updated. Beware of delayed calculation of Premium/Discount(%). |