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LYXOR UCITS ETF HONG KONG HS

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HSI:FP
EN Paris
27.23
EUR
0.43
1.60%
As of 08:52:30 ET on 07/28/2015.
Open
27.20
Day Range
27.09 - 27.23
Volume
20,376
Previous Close
26.80
52Wk Range
22.05 - 33.28
1 Yr Return
24.23%
Open
27.20
Day Range
27.09 - 27.23
Volume
20,376
Previous Close
26.80
52Wk Range
22.05 - 33.28
1 Yr Return
24.23%
YTD Return
16.94%
NAV (on 07/27/2015)
26.9287
Total Assets (m -) (on 07/27/2015)
233.449
Inception Date
09/29/2006
Premium/Discount
-0.48%
Average 52-Week Premium
0.03%
Fund Managers
RAPHAEL DIETERLEN / SEBASTIEN FOY
Last Dividend (on 07/08/2015)
0.7
Dividend Indicated Gross Yield
5.14%
Expense Ratio
0.65%
3 Mo Return
-15.33%
3 Yr Return
14.38%
5 Yr Return
8.77%
Top Fund Holdings
Name Position Value % of Fund
HSBC Holdings PLC 3.13 m 25.90 m 11.38
Tencent Holdings Ltd 1.28 m 23.24 m 10.21
AIA Group Ltd 2.74 m 16.58 m 7.28
China Mobile Ltd 1.40 m 16.54 m 7.27
China Construction Bank Corp 19.15 m 14.70 m 6.46
Industrial & Commercial Bank o 16.79 m 11.03 m 4.84
Bank of China Ltd 18.08 m 9.50 m 4.17
CK Hutchison Holdings Ltd 614.92 k 8.27 m 3.63
Ping An Insurance Group Co of 1.19 m 6.85 m 3.01
Hong Kong Exchanges and Cleari 252.61 k 6.60 m 2.90
Profile
The Lyxor ETF Hong Kong (HSI) is a UCITS compliant Exchange-traded fund established in France. The Fund's investment objective is to track the performance of the HSI Index.
ADDRESS
Lyxor Intl Asset Management
17, Cours Valmy
92800 Puteaux
France
PHONE
33-1-42-13-96-97