Quote | Super Quote
Hot Leveraged and Inverse Products
Leveraged and Inverse Products
CodeNameUnderlying AssetNominal%ChangeTurnoverNAV
(Prem/Discount)
Related Information
07226XL2CSOPHSTECH
+2x
Hang Seng TECH IndexupHKD
4.784
+7.216%1.956B4.475
(+6.91%)
Details | Quote
07552XI2CSOPHSTECH
-2x
Hang Seng TECH IndexdownHKD
2.960
-7.094%1.256B3.181
(-6.95%)
Details | Quote
07500FI2 CSOP HSI
-2x
Hang Seng IndexdownHKD
3.392
-4.505%590.341M3.547
(-4.37%)
Details | Quote
07200FL2 CSOP HSI
+2x
Hang Seng IndexupHKD
4.300
+4.318%489.320M4.125
(+4.24%)
Details | Quote
07233XL2CSOPCSI300
+2x
CSI 300 IndexupHKD
4.258
+6.985%54.010M3.992
(+6.66%)
Details | Quote
07234XL2 BOS CHINEXT
+2x
SZSE ChiNext Index (HKD)(CNH)upHKD
4.856
+11.121%30.957M4.379
(+10.89%)
Details | Quote
07299FL2CSOPGOLD
+2x
Solactive Gold 1-Day Rolling Futures IndexupHKD
12.580
+0.080%23.460M12.584
(-0.03%)
Details | Quote
07288FL2 CSOP HSCEI
+2x
Hang Seng China Enterprises IndexupHKD
2.690
+5.408%22.042M2.556
(+5.24%)
Details | Quote
07568FI2CSOPNASDAQ
-2x
NASDAQ 100 IndexupHKD
5.580
+0.541%18.721M5.602
(-0.39%)
Details | Quote
07588FI2 CSOP HSCEI
-2x
Hang Seng China Enterprises IndexdownHKD
2.688
-5.219%6.469M2.832
(-5.08%)
Details | Quote
07300FI CSOP HSI
-1x
Hang Seng IndexdownHKD
4.536
-2.115%6.034M4.632
(-2.07%)
Details | Quote
07522FI2CAMNDQ100
-2x
NASDAQ 100 IndexupHKD
0.843
+0.357%3.294M0.847
(-0.47%)
Details | Quote
07266FL2CSOPNASDAQ
+2x
NASDAQ 100 IndexdownHKD
23.480
-0.677%2.948M23.401
(+0.34%)
Details | Quote
07376FI CSOP BTC
-1x
S&P Bitcoin Futures IndexdownHKD
7.250
-0.344%1.681M7.412
(-2.19%)
Details | Quote
07515FI2 CSOP NIKKEI
-2x
Nikkei Stock AveragedownHKD
66.740
-1.067%1.060M68.413
(-2.45%)
Details | Quote
07232FL2FBFTTAIWAN
+2x
FTSE Taiwan RIC Capped IndexupHKD
13.770
+1.101%303,7801.722
(--)
Details | Quote
07261FL2CAMNDQ100
+2x
NASDAQ 100 IndexdownHKD
30.820
-0.388%187,56830.658
(+0.53%)
Details | Quote
07262FL2 CSOP NIKKEI
+2x
Nikkei Stock AverageupHKD
74.620
+0.675%18,57372.763
(+2.55%)
Details | Quote
Remark: Quote data is at least 15-min delayed. Data updated on 05/11/2024 16:40
  Fund return is not including dividend. Data updated on 04/11/2024 08:02
  Net asset value is subjected to the latest information released by issuers and daily updated. Beware of delayed calculation of Premium/Discount(%).
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