CSOP FTSE US Treasury 20+ Years Index ETF: Unit HKD

Exchange Code Listed Last trade Delisted
HKCIS 03433  2024-01-10    
Stock code:

Adjust for splits and bonus issues: Yes No

Use price on: trading date holding/settlement date

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Table rows with no holding change: include exclude

Holdings of unnamed Investor Particpants

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Data table

Prices, holdings and issued shares are unadjusted for splits and bonus issues.

Using prices on the last related trading date, which is 2 trading days before settlement.

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Row Holding
date
Holding Change Stake
%
Hold
-ers
Issued
shares
Holding
Value
Price @
trade
date
Trade
date
1 2026-02-12 68.48 2026-02-10
2 2026-02-11 68.08 2026-02-09
3 2026-02-10 18,170 1,000 0.10 5 18,250,000 1,238,831 68.18 2026-02-06
4 2026-01-22 17,170 7,000 0.09 5 18,550,000 1,156,571 67.36 2026-01-20
5 2026-01-15 10,170 -7,000 0.05 4 18,650,000 698,679 68.70 2026-01-13
6 2025-12-15 17,170 1,070 0.09 5 18,450,000 1,186,790 69.12 2025-12-11
7 2025-10-22 16,100 7,000 0.09 5 17,500,000 1,133,440 70.40 2025-10-20
8 2025-10-14 9,100 -4,000 0.05 4 17,250,000 639,366 70.26 2025-10-10
9 2025-10-03 13,100 730 0.07 5 18,050,000 917,786 70.06 2025-09-30
10 2025-09-17 12,370 -3,000 0.07 4 18,050,000 866,395 70.04 2025-09-15
11 2025-08-08 15,370 7,000 0.09 4 17,350,000 1,058,993 68.90 2025-08-06
12 2025-06-09 8,370 300 0.06 3 13,150,000 569,997 68.10 2025-06-05
13 2025-05-19 8,070 -100 0.08 2 10,400,000 541,013 67.04 2025-05-15
14 2025-04-11 8,170 100 0.09 3 9,600,000 559,318 68.46 2025-04-09
15 2024-11-28 8,070 200 0.10 2 7,900,000 582,493 72.18 2024-11-26
16 2024-07-10 7,870 200 0.15 2 5,400,000 582,380 74.00 2024-07-08
17 2024-05-31 7,670 580 0.16 1 4,750,000 547,331 71.36 2024-05-29
18 2024-04-12 7,090 2,950 0.12 1 5,950,000 532,034 75.04 2024-04-10
19 2024-02-22 4,140 4,140 0.07 1 5,650,000 309,672 74.80 2024-02-20

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