SymbolCYX
NameCSOP CSI STAR&CHINEXT 50 ETF
SectorUNDEFINED
RegionAsia
Industry-
Address8 Marina View #36-05 Asia Square Tower 1 Singapore 018960
Telephone-
Fax-
Email-
Websitehttp://www.csopasset.com/sg/home.html
IncorporationSINGAPORE
Incorporated On-
Employees-
Fiscal Year-
Public Since-
ExchangesSGX
AuditorPRICEWATERHOUSECOOPERS LLP
Audit StatusNOT PROVIDED
Reporting Status
CIK
Description

SGX Investor Classification
Investors who invest in this product expect low to moderate likelihood of loss of principal investment amount, with generally smaller potential returns. Investors who invest in this product have a basic understanding of financial instruments with standardized terms and no unusual or complicated features.

Additional info from SGX:

The investment objective of the Sub-Fund is to replicate as closely as possible, before fees and expenses, the performance of the FTSE Chinese Government Bond Index (the "Index"). The Index is compiled and maintained by FTSE Russell and is designed to measure the performance of fixed-rate government bonds issued in mainland China.

Additional info from SGX:

SGX Investor Classification
Investors who invest in this product expect low to moderate likelihood of loss of principal investment amount, with generally smaller potential returns. Investors who invest in this product have a basic understanding of financial instruments with standardized terms and no unusual or complicated features.

Additional info from SGX:
SGX Investor Classification
Investors who invest in this product expect low to moderate likelihood of loss of principal investment amount, with generally smaller potential returns. Investors who invest in this product have a basic understanding of financial instruments with standardized terms and no unusual or complicated features.

Additional info from SGX:
The investment objective of the Sub-Fund is to replicate as closely as possible, before fees and expenses, the performance of the FTSE Chinese Government Bond Index (the "Index"). The Index is compiled and maintained by FTSE Russell and is designed to measure the performance of fixed-rate government bonds issued in mainland China.

2026-08-14 12:23

General Announcement: Net Asset Value per unit

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2026-08-14 12:21

General Announcement: Net Asset Value per unit

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2026-08-14 12:21

General Announcement: Net Asset Value per unit

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2026-08-14 12:20

General Announcement: Net Asset Value per unit

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2026-08-07 13:05

General Announcement: Net Asset Value per unit

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2026-08-07 12:58

General Announcement: Net Asset Value per unit

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2026-08-07 12:58

General Announcement: Net Asset Value per unit

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2026-08-07 12:57

General Announcement: Net Asset Value per unit

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2026-07-31 14:20

General Announcement: Net Asset Value per unit

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2026-07-31 14:14

General Announcement: Net Asset Value per unit

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