ICBC CSOP FTSE Chinese Government and Policy Bank Bond Index ETF: Unit CNY

Exchange Code Listed Last trade Delisted
HKCIS 83199  2014-02-19    

Event details

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Announced:2025-01-02
Year-end:2024-12-31
Type:Q4 distribution
Currency:CNY
Price or amount: 0.9
Price in quoted currency:
Last cum date2025-01-16
Last cum price107.8
Ex-entitlement date:2025-01-17
Record date:2025-01-20
Adjustment factor to prior prices:0.991651
Distribution/delivery date: 2025-01-27

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