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Global X 恒生高股息率ETF (股份代號:3110)

每日持股

概要 截至2024年4月23日
總資產淨值(以港元計算) 證券數目 [1] 證券(%) 現金及現金等值(%)
$ 1,934,868,344.48 50 111.39% -11.39%
每日持股 截至2024年4月23日
证券名称 股份代号 交易所 市場價格
(以港元計算)
所持股份數目 市值
(以港元计算)
占基金资产净值
百分比 [2]
CNOOC LTD 883 HK Hong Kong 18.42 5,205,103 95,877,997.26 4.96
CHINA HONGQIAO GROUP LTD 1378 HK Hong Kong 9.70 9,149,061 88,745,891.70 4.59
CHINA SHENHUA ENERGY CO 1088 HK Hong Kong 31.55 2,354,707 74,291,005.85 3.84
PETROCHINA CO LTD 857 HK Hong Kong 7.24 9,181,877 66,476,789.48 3.44
PCCW LTD 8 HK Hong Kong 3.88 14,204,052 55,111,721.76 2.85
AGRICULTURAL BANK OF CHINA 1288 HK Hong Kong 3.50 15,298,846 53,545,961.00 2.77
CHINA COAL ENERGY CO 1898 HK Hong Kong 7.70 6,604,522 50,854,819.40 2.63
BANK OF CHINA LTD 3988 HK Hong Kong 3.44 14,745,030 50,722,903.20 2.62
CHINA CITIC BANK CORP LTD 998 HK Hong Kong 4.31 11,724,426 50,532,276.06 2.61
CHINA EVERBRIGHT ENVIRONMENT 257 HK Hong Kong 3.26 15,367,384 50,097,671.84 2.59
BEIJING ENTERPRISES WATER GR 371 HK Hong Kong 1.90 25,968,862 49,340,837.80 2.55
BANK OF COMMUNICATIONS CO 3328 HK Hong Kong 5.38 8,837,194 47,544,103.72 2.46
DONGFENG MOTOR GRP CO LTD 489 HK Hong Kong 2.90 16,150,095 46,835,275.50 2.42
CHINA EVERBRIGHT BANK CO L 6818 HK Hong Kong 2.28 20,166,139 45,978,796.92 2.38
CHINA CONSTRUCTION BANK 939 HK Hong Kong 4.91 9,325,480 45,788,106.80 2.37
IND & COMM BK OF CHINA 1398 HK Hong Kong 4.12 10,494,936 43,239,136.32 2.23
POWER ASSETS HOLDINGS LTD 6 HK Hong Kong 44.50 937,338 41,711,541.00 2.16
HKBN LTD 1310 HK Hong Kong 2.95 13,758,281 40,586,928.95 2.10
FAR EAST HORIZON LTD 3360 HK Hong Kong 5.60 7,185,117 40,236,655.20 2.08
CHINA PETROLEUM & CHEMICAL 386 HK Hong Kong 4.71 8,535,484 40,202,129.64 2.08
CHINA MOBILE LTD 941 HK Hong Kong 69.55 577,739 40,181,747.45 2.08
CHINA MINSHENG BANKING COR 1988 HK Hong Kong 2.79 13,530,904 37,751,222.16 1.95
CHINA MERCHANTS PORT HOLDING 144 HK Hong Kong 9.99 3,674,847 36,711,721.53 1.90
KERRY PROPERTIES LTD 683 HK Hong Kong 13.84 2,623,554 36,309,987.36 1.88
CK INFRASTRUCTURE HOLDINGS L 1038 HK Hong Kong 43.70 828,624 36,210,868.80 1.87
ANHUI CONCH CEMENT CO LTD 914 HK Hong Kong 17.52 2,011,630 35,243,757.60 1.82
CLP HOLDINGS LTD 2 HK Hong Kong 61.50 564,678 34,727,697.00 1.79
BOC HONG KONG HOLDINGS LTD 2388 HK Hong Kong 23.25 1,464,115 34,040,673.75 1.76
COSCO SHIPPING PORTS LTD 1199 HK Hong Kong 4.59 7,379,169 33,870,385.71 1.75
CHINA TELECOM CORP LTD 728 HK Hong Kong 4.39 7,558,200 33,180,498.00 1.71
CITIC LTD 267 HK Hong Kong 7.15 4,521,432 32,328,238.80 1.67
CHINA NATIONAL BUILDING MA 3323 HK Hong Kong 2.82 11,296,346 31,855,695.72 1.65
CHINA STATE CONSTRUCTION INT 3311 HK Hong Kong 8.46 3,598,579 30,443,978.34 1.57
CHINA UNICOM HONG KONG LTD 762 HK Hong Kong 5.98 5,060,103 30,259,415.94 1.56
CHINA GALAXY SECURITIES CO 6881 HK Hong Kong 3.82 7,769,501 29,679,493.82 1.53
UNI-PRESIDENT CHINA HOLDINGS 220 HK Hong Kong 5.93 4,901,468 29,065,705.24 1.50
PEOPLE'S INSURANCE CO GROU 1339 HK Hong Kong 2.55 11,313,007 28,848,167.85 1.49
GUANGDONG INVESTMENT LTD 270 HK Hong Kong 3.41 8,024,734 27,364,342.94 1.41
CHINA CINDA ASSET MANAGEME 1359 HK Hong Kong 0.67 39,680,675 26,586,052.25 1.37
HYSAN DEVELOPMENT CO 14 HK Hong Kong 11.72 2,148,813 25,184,088.36 1.30
NEW WORLD DEVELOPMENT 17 HK Hong Kong 7.75 3,240,415 25,113,216.25 1.30
CRRC CORP LTD 1766 HK Hong Kong 4.37 5,226,994 22,841,963.78 1.18
NEW CHINA LIFE INSURANCE C 1336 HK Hong Kong 13.80 1,547,642 21,357,459.60 1.10
XINYI GLASS HOLDINGS LTD 868 HK Hong Kong 7.88 2,704,578 21,312,074.64 1.10
HANG SENG BANK LTD 11 HK Hong Kong 98.60 213,568 21,057,804.80 1.09
KINGBOARD LAMINATES HLDG LTD 1888 HK Hong Kong 5.47 3,825,717 20,926,671.99 1.08
KINGBOARD HOLDINGS LTD 148 HK Hong Kong 14.78 1,338,064 19,776,585.92 1.02
YUEXIU PROPERTY CO LTD 123 HK Hong Kong 3.87 5,091,962 19,705,892.94 1.02
LEE & MAN PAPER MANUFACTURIN 2314 HK Hong Kong 2.32 8,052,778 18,682,444.96 0.97
CHINA RESOURCES BUILDING MAT 1313 HK Hong Kong 1.10 9,128,091 10,040,900.10 0.52

Month-end holdings

概要 截至2024年3月29日
总资产净值(以港元计算) 證券數目 [1] 證券(%) 現金及現金等值(%)
$ 2,164,572,254.20 50 99.72% 0.28%
月結持股 截至2024年3月29日
证券名称 股份代号 交易所 市場價格
(以港元計算)
所持股份數目 市值
(以港元計算)
佔基金資產淨值
百分比 [2]
CNOOC LTD 883 HK Hong Kong 18.12 5,952,769 107,864,174.28 4.98
CHINA HONGQIAO GROUP LTD 1378 HK Hong Kong 8.80 10,462,469 92,069,727.20 4.25
CHINA SHENHUA ENERGY CO 1088 HK Hong Kong 30.75 2,693,503 82,825,217.25 3.83
PETROCHINA CO LTD 857 HK Hong Kong 6.69 10,502,961 70,264,809.09 3.25
PCCW LTD 8 HK Hong Kong 3.87 16,244,229 62,865,166.23 2.90
DONGFENG MOTOR GRP CO LTD 489 HK Hong Kong 3.27 18,469,715 60,395,968.05 2.79
AGRICULTURAL BANK OF CHINA 1288 HK Hong Kong 3.30 17,496,122 57,737,202.60 2.67
CHINA COAL ENERGY CO 1898 HK Hong Kong 7.62 7,553,026 57,554,058.12 2.66
CHINA CITIC BANK CORP LTD 998 HK Hong Kong 4.17 13,407,857 55,910,763.69 2.58
BANK OF CHINA LTD 3988 HK Hong Kong 3.23 16,862,776 54,466,766.48 2.52
CHINA EVERBRIGHT ENVIRONMENT 257 HK Hong Kong 3.04 17,573,424 53,423,208.96 2.47
BANK OF COMMUNICATIONS CO 3328 HK Hong Kong 5.14 10,106,916 51,949,548.24 2.40
CHINA EVERBRIGHT BANK CO L 6818 HK Hong Kong 2.25 23,061,860 51,889,185.00 2.40
BEIJING ENTERPRISES WATER GR 371 HK Hong Kong 1.74 29,699,051 51,676,348.74 2.39
CHINA CONSTRUCTION BANK 939 HK Hong Kong 4.72 10,665,329 50,340,352.88 2.33
POWER ASSETS HOLDINGS LTD 6 HK Hong Kong 45.80 1,072,321 49,112,301.80 2.27
FAR EAST HORIZON LTD 3360 HK Hong Kong 5.80 8,217,646 47,662,346.80 2.20
IND & COMM BK OF CHINA 1398 HK Hong Kong 3.94 12,001,662 47,286,548.28 2.18
HKBN LTD 1310 HK Hong Kong 2.93 15,734,039 46,100,734.27 2.13
CHINA MOBILE LTD 941 HK Hong Kong 66.90 661,236 44,236,688.40 2.04
CK INFRASTRUCTURE HOLDINGS L 1038 HK Hong Kong 45.80 948,291 43,431,727.80 2.01
CHINA PETROLEUM & CHEMICAL 386 HK Hong Kong 4.44 9,763,062 43,347,995.28 2.00
KERRY PROPERTIES LTD 683 HK Hong Kong 14.32 3,000,799 42,971,441.68 1.99
CHINA MINSHENG BANKING COR 1988 HK Hong Kong 2.71 15,473,129 41,932,179.59 1.94
CLP HOLDINGS LTD 2 HK Hong Kong 62.35 646,647 40,318,440.45 1.86
CHINA MERCHANTS PORT HOLDING 144 HK Hong Kong 9.39 4,205,061 39,485,522.79 1.82
CITIC LTD 267 HK Hong Kong 7.52 5,171,898 38,892,672.96 1.80
ANHUI CONCH CEMENT CO LTD 914 HK Hong Kong 16.28 2,300,996 37,460,214.88 1.73
COSCO SHIPPING PORTS LTD 1199 HK Hong Kong 4.30 8,439,898 36,291,561.40 1.68
CHINA TELECOM CORP LTD 728 HK Hong Kong 4.19 8,645,477 36,224,548.63 1.67
CHINA STATE CONSTRUCTION INT 3311 HK Hong Kong 8.54 4,116,420 35,154,226.80 1.62
BOC HONG KONG HOLDINGS LTD 2388 HK Hong Kong 20.95 1,674,309 35,076,773.55 1.62
CHINA NATIONAL BUILDING MA 3323 HK Hong Kong 2.69 12,919,382 34,753,137.58 1.61
CHINA GALAXY SECURITIES CO 6881 HK Hong Kong 3.84 8,885,336 34,119,690.24 1.58
CHINA UNICOM HONG KONG LTD 762 HK Hong Kong 5.65 5,787,699 32,700,499.35 1.51
PEOPLE'S INSURANCE CO GROU 1339 HK Hong Kong 2.50 12,937,695 32,344,237.50 1.49
UNI-PRESIDENT CHINA HOLDINGS 220 HK Hong Kong 5.57 5,605,607 31,223,230.99 1.44
HYSAN DEVELOPMENT CO 14 HK Hong Kong 12.62 2,458,849 31,030,674.38 1.43
GUANGDONG INVESTMENT LTD 270 HK Hong Kong 3.35 9,178,802 30,748,986.70 1.42
NEW WORLD DEVELOPMENT 17 HK Hong Kong 8.26 3,707,004 30,619,853.04 1.41
CHINA CINDA ASSET MANAGEME 1359 HK Hong Kong 0.65 45,377,793 29,495,565.45 1.36
XINYI GLASS HOLDINGS LTD 868 HK Hong Kong 8.29 3,093,300 25,643,457.00 1.18
KINGBOARD LAMINATES HLDG LTD 1888 HK Hong Kong 5.79 4,375,232 25,332,593.28 1.17
CRRC CORP LTD 1766 HK Hong Kong 4.22 5,978,237 25,228,160.14 1.17
YUEXIU PROPERTY CO LTD 123 HK Hong Kong 4.31 5,824,677 25,104,357.87 1.16
NEW CHINA LIFE INSURANCE C 1336 HK Hong Kong 13.86 1,769,903 24,530,855.58 1.13
KINGBOARD HOLDINGS LTD 148 HK Hong Kong 15.96 1,531,319 24,439,851.24 1.13
LEE & MAN PAPER MANUFACTURIN 2314 HK Hong Kong 2.36 9,208,853 21,732,893.08 1.00
HANG SENG BANK LTD 11 HK Hong Kong 85.65 244,332 20,927,035.80 0.97
CHINA RESOURCES BUILDING MAT 1313 HK Hong Kong 1.19 10,440,506 12,424,202.14 0.57

除另有訂明外,所有金額以港元計值,所有日期為GMT+8 時區。

[1]
Number of Securities represents the number of underlying securities held by the Fund.
[2]
The sum of all the allocation percentages shown in the table above may not equal 100% due to rounding or omissions of holdings of less than 1%.

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