1731561458

Global X Hang Seng High Dividend Yield ETF

Morningstar RatingTM - As of 01/31/2023

3110 HKD

Invest in 3110

Important Information

Investors should not base investment decisions on this website alone. Please refer to the Prospectus for details including the product features and the risk factors. Investment involves risks. There is no guarantee of the repayment of principal. Investor should note:

  • Global X Hang Seng High Dividend Yield ETF’s (the “Fund’s”) investment in equity securities is subject to general market risks, whose value may fluctuate due to various factors, such as changes in investment sentiment, political and economic conditions and issuer specific factors.
  • There is no assurance that dividends will be declared and paid in respect of the securities comprising the Hang Seng High Dividend Yield Index (the “Index”). Dividend payment rates in respect of such securities will depend on the performance of the companies or REITs of the constituent securities of the Index as well as factors beyond the control of the Manager including but not limited to, the dividend distribution policy of these companies or REITs.
  • Whether or not distributions will be made by the Fund is at the discretion of the Manager taking into account various factors and its own distribution policy. There can be no assurance that the distribution yield of the Fund is the same as that of the Index.
  • The Manager may at its discretion pay dividend out of the capital or gross income of the fund. Payment of dividends out of capital to a return or withdrawal of part of an investor’s original investment or from any capital gains attributable to that original investment. Any distributions involving payment of dividends out of the Fund’s capital may result in an immediate reduction of the Net Asset Value per Unit.
  • The trading price of the Fund’s unit (the “Unit”) on the Stock Exchange of Hong Kong is driven by market factors such as demand and supply of the Unit. Therefore, the Units may trade at a substantial premium or discount to the Fund’s net asset value.

Why Global X Hang Seng High Dividend Yield ETF?

High Income Potential

Global X Hang Seng High Dividend Yield ETF accesses 50 stocks and/or real estate investment trusts ("REITs") listed on the Stock Exchange of Hong Kong with the highest net dividend yield.

Semi-annual Distributions

The fund aims to make distributions on a semi-annual basis.

Low Volatility

The fund’s index methodology excludes securities that have exhibited the highest levels of volatility in an effort to produce low volatility returns.

Fund InformationAs of 13 Nov 2024

Fund Inception Date 11 Jun 2013
SEHK Listing Date 17 Jun 2013
Fiscal Year Ending 31 Mar
Ongoing Charges Over A Year ^ 0.61%
Distribution Frequency Semi-annually at the Manager’s discretion (Mar and Sep)
NAV Per Share HKD $23.16
Monthly Report
^ The Fund adopts a single management fee structure, whereby a single flat fee will be paid out of the assets of the Fund to cover all of the costs, fees and expenses of the Fund. Click to learn more.

Index Information 1 As of 13 Nov 2024

Underlying Index Hang Seng High Dividend Yield Index 2
Index Type Net Total Return
Base Currency HKD
Closing Level 2,569.18
Change -1.77
Change % -0.07%

Distributions

Ex-date 30 March 2021
Pay Date 9 April 2021
Dividend Per Share (HKD) 0.20
Annualized Yield 7.8%#
Dividend rate is not guaranteed, distributions may be made out of capital or income at the Manager’s discretion and please refer to clause 4 in important information.

Trading InformationAs of 13 Nov 2024

Exchange Hong Kong Stock Exchange
Stock Code 3110
ISIN HK0000151933
Board Lot Size 100 Units
Trading Currency HKD
Total Net Asset Value $2,682,327,512.27
Outstanding Units 115,800,000

ETF Summary

The Fund is a passive ETF and seeks to provide investment results that, before deduction of fees and expenses, closely correspond to the performance of the Hang Seng High Dividend Yield Index (the “Index”).


#The Manager may at its absolute discretion declare distributions semi-annually to unitholders in each financial year and details of the distribution declaration dates, distribution amounts and ex-dividend payment dates will be published on the Manager’s website https://www.globalxetfs.com.hk/. Distributions may be made out of capital or income at the Manager’s discretion. There can be no assurance that a distribution will be paid and dividend rate is not guaranteed. Please refer to the prospectus of the fund to understand the distribution policy and other details. The annualized yield is calculated as follows: (dividends per share distributed in Sep 2022 and Mar 2023) / net asset value per unit of the fund on 28 Feb 2023. Investors should note that yield figures are estimated and for reference only and do not represent the performance of the Fund, and that there is no guarantee as to the actual frequency and/or amount of dividend payments. Please note that a positive distribution yield does not imply a positive return on the total investment. Investors should not base investment decisions on the above information alone. Please refer to the Prospectus(including Product Key Facts Statement) for details including the product features and the risk factors. Investment involves risks. Past performance is not indicative of future performance.

ETF Prices

* Market prices are provided on a 15-minute delayed basis by ICE Data Services. (See terms and conditions)

Daily NAV per Unit4As of 13 Nov 2024

NAV Change % Change
Official NAV per Unit in HKD $23.16 $-0.02 -0.07%

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Performance As of 13 Nov 2024

Cumulative Return Fund NAV (%) Benchmark (%)
1 Mth -4.75 -4.70
3 Mths 12.23 12.91
6 Mths 9.57 10.55
1 Yr 31.91 33.61
YTD 26.75 28.28
Since Inception 92.40 110.86
Calendar Year Return Fund NAV (%) Benchmark (%)
2023
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- -
2022 - -
2021 - -
2020 -6.96 -6.22
2019 9.38 10.19
2018 -5.87 -5.53
2017 40.53 42.04
2016 3.70 4.86
2015 -0.01 0.25
2014 10.25 10.83
2013^ 4.06 4.21
^ Since listing date to the end of the calendar year.
Source: Mirae Asset Global Investments (Hong Kong) Limited.
• Past performance information is not indicative of future performance. Investors may not get back the full amount invested.
• The computation basis of the performance is based on the calendar year end, NAV-to-NAV, with dividend reinvested.
• These figures show by how much the Sub-Fund increased or decreased in value during the calendar year shown.
• Performance data has been calculated in HKD including ongoing charges and excluding trading costs on HKEx you might have to pay.
• Where no past performance is shown there was insufficient data available in that year to provide performance.
• The Index of the Fund is Hang Seng High Dividend Yield Index.
• Fund launch date: 11 Jun 2013

Exposure
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29 Dec 2023

  Sector Weight (%)
Financials 29.0
Energy 13.7
Industrials 12.1
Utilities 10.8
Communication Services 10.4
Materials 8.8
Real Estate 7.5
Consumer Discretionary 3.3
Information Technology 2.7
Consumer Staples 1.4
Cash 0.2
  Sector Weight (%)
China 78.4
Hong Kong 21.4
Cash 0.2

Holdings Overview As of 5 Jul 2024

Total Net Asset Value (in HKD) Number of Securities Securities (%) Cash and Cash Equivalent (%)
2,525,029,016.91 50 97.65 2.35

Daily HoldingsAs of 5 Jul 2024

Name of Securities Exchange Ticker Exchange Market Price (in HKD) Number of Shares Held Market Value (in HKD) Net Assets (%)
PCCW LTD 8 HK Hong Kong 3.89 22,134,616 86,103,656.24 3.41
HANG LUNG PROPERTIES LTD 101 HK Hong Kong 6.57 11,615,141 76,311,476.37 3.02
UNI-PRESIDENT CHINA HOLDINGS 220 HK Hong Kong 7.17 9,275,774 66,507,299.58 2.63
CHINA PETROLEUM & CHEMICAL 386 HK Hong Kong 5.31 11,669,501 61,965,050.31 2.45
FAR EAST HORIZON LTD 3360 HK Hong Kong 5.10 11,988,055 61,139,080.50 2.42
IND & COMM BK OF CHINA 1398 HK Hong Kong 4.70 12,851,495 60,402,026.50 2.39
CHINA CITIC BANK CORP LTD 998 HK Hong Kong 4.70 12,700,115 59,690,540.50 2.36
CHINA GAS HOLDINGS LTD 384 HK Hong Kong 7.31 8,105,095 59,248,244.45 2.35
AGRICULTURAL BANK OF CHINA 1288 HK Hong Kong 3.39 17,044,921 57,782,282.19 2.29
CHINA CONSTRUCTION BANK 939 HK Hong Kong 5.36 10,464,705 56,090,818.80 2.22
CHINA MINSHENG BANKING COR 1988 HK Hong Kong 2.76 20,289,874 56,000,052.24 2.22
LINK REIT 823 HK Hong Kong 30.50 1,823,333 55,611,656.50 2.20
CHINA FEIHE LTD 6186 HK Hong Kong 3.65 15,037,651 54,887,426.15 2.17
CHINA EVERBRIGHT ENVIRONMENT 257 HK Hong Kong 3.99 13,518,872 53,940,299.28 2.14
BANK OF CHINA LTD 3988 HK Hong Kong 3.80 14,006,119 53,223,252.20 2.11
CNOOC LTD 883 HK Hong Kong 23.25 2,234,737 51,957,635.25 2.06
BOC HONG KONG HOLDINGS LTD 2388 HK Hong Kong 22.80 2,278,115 51,941,022.00 2.06
HENDERSON LAND DEVELOPMENT 12 HK Hong Kong 21.10 2,442,278 51,532,065.80 2.04
CITIC LTD 267 HK Hong Kong 7.29 7,034,541 51,281,803.89 2.03
POWER ASSETS HOLDINGS LTD 6 HK Hong Kong 42.30 1,208,823 51,133,212.90 2.03
XINYI GLASS HOLDINGS LTD 868 HK Hong Kong 8.43 6,036,464 50,887,391.52 2.02
CHINA EVERBRIGHT BANK CO L 6818 HK Hong Kong 2.37 21,292,672 50,463,632.64 2.00
BANK OF COMMUNICATIONS CO 3328 HK Hong Kong 5.71 8,691,275 49,627,180.25 1.97
CHINA SHENHUA ENERGY CO 1088 HK Hong Kong 37.35 1,316,120 49,157,082.00 1.95
CHINA COMMUNICATIONS CONST 1800 HK Hong Kong 4.74 10,281,457 48,734,106.18 1.93
PETROCHINA CO LTD 857 HK Hong Kong 8.44 5,765,316 48,659,267.04 1.93
CHINA MOBILE LTD 941 HK Hong Kong 76.85 628,972 48,336,498.20 1.91
CHINA UNICOM HONG KONG LTD 762 HK Hong Kong 7.37 6,459,988 47,610,111.56 1.89
CHINA MERCHANTS PORT HOLDING 144 HK Hong Kong 12.32 3,829,798 47,183,111.36 1.87
CK INFRASTRUCTURE HOLDINGS L 1038 HK Hong Kong 44.30 1,056,442 46,800,380.60 1.85
ANHUI CONCH CEMENT CO LTD 914 HK Hong Kong 19.66 2,312,078 45,455,453.48 1.80
HANG SENG BANK LTD 11 HK Hong Kong 100.00 451,907 45,190,700.00 1.79
CHINA TELECOM CORP LTD 728 HK Hong Kong 4.72 9,564,330 45,143,637.60 1.79
CHINA STATE CONSTRUCTION INT 3311 HK Hong Kong 11.02 3,994,382 44,018,089.64 1.74
BEIJING ENTERPRISES HLDGS 392 HK Hong Kong 27.00 1,628,417 43,967,259.00 1.74
PEOPLE'S INSURANCE CO GROU 1339 HK Hong Kong 2.58 16,929,415 43,677,890.70 1.73
PING AN INSURANCE GROUP CO 2318 HK Hong Kong 36.10 1,195,871 43,170,943.10 1.71
COSCO SHIPPING PORTS LTD 1199 HK Hong Kong 5.34 7,976,175 42,592,774.50 1.69
BEIJING ENTERPRISES WATER GR 371 HK Hong Kong 2.39 17,724,067 42,360,520.13 1.68
COSCO SHIPPING HOLDINGS CO 1919 HK Hong Kong 13.46 3,068,021 41,295,562.66 1.64
CHINA GALAXY SECURITIES CO 6881 HK Hong Kong 4.18 9,795,316 40,944,420.88 1.62
CHINA CINDA ASSET MANAGEME 1359 HK Hong Kong 0.68 59,315,634 40,334,631.12 1.60
CLP HOLDINGS LTD 2 HK Hong Kong 63.15 627,823 39,647,022.45 1.57
NEW CHINA LIFE INSURANCE C 1336 HK Hong Kong 15.50 2,546,636 39,472,858.00 1.56
KINGBOARD HOLDINGS LTD 148 HK Hong Kong 17.92 2,168,842 38,865,648.64 1.54
CHINA OVERSEAS LAND & INVEST 688 HK Hong Kong 13.60 2,839,746 38,620,545.60 1.53
CHINA COAL ENERGY CO 1898 HK Hong Kong 8.88 3,933,002 34,925,057.76 1.38
CRRC CORP LTD 1766 HK Hong Kong 5.10 6,842,499 34,896,744.90 1.38
CHINA PACIFIC INSURANCE GR 2601 HK Hong Kong 19.44 1,774,664 34,499,468.16 1.37
CHINA HONGQIAO GROUP LTD 1378 HK Hong Kong 11.76 1,897,435 22,313,835.60 0.88
Holdings are subject to change. Cash, where shown, includes other assets and liabilities, such as payables and receivables.
20241113-.0708-0.0688461463661292569.18

Tracking Difference / Error

Tracking Difference / Tracking Error

Tracking Difference
Tracking difference is the return difference between the Fund and the Underlying Index over a certain period of time.
Tracking Error
Tracking error measures how consistently the Fund follows the Underlying Index. It is the volatility (measured by standard deviation) of that return difference.

Tracking Difference (TD)

Fund Listing Date:17 Jun 2013

Rolling 1 Year TD: -0.50%

TD for Calendar Year 2022:-0.02%

TD for Calendar Year 2021:-1.32%

TD for Calendar Year 2020:-0.74%

TD for Calendar Year 2019:-0.81%

TD for Calendar Year 2018:-0.34%

TD for Calendar Year 2017:-1.52%

TD for Calendar Year 2016:-1.16%

TD for Calendar Year 2015:-0.26%

TD for Calendar Year 2014:-0.60%

Tracking Error (TE)

Fund Listing Date:17 Jun 2013

Rolling 1 Year TE^ :0.26%

^ Annualized based on the number of dealing days in the past year when daily TD is calculated.


Graph for Tracking Difference

ETFs performance is calculated on an NAV to NAV basis and assumes reinvestment of distribution.

Hover over the chart points for details

Market Makers 5

BNP Paribas Securities (Asia) Limited

SG Securities (HK) Limited

Mirae Asset Securities (HK) Limited

Participating Dealers 6

ABN AMRO Clearing Hong Kong Limited

BNP Paribas Securities Services

CIMB Securities Limited

Goldman Sachs (Asia) Securities Limited

Guotai Junan Securities (Hong Kong) Limited

Macquarie Bank Limited

Merrill Lynch Far East Limited

Morgan Stanley Hong Kong Securities Limited

Nomura International (Hong Kong) Limited

Mirae Asset Securities (HK) Limited

SG Securities (HK) Limited

Shenwan Hongyuan Securities (H.K.) Limited

UBS Securities Hong Kong Limited

Yuanta Securities (Hong Kong) Company Limited

Product Documents

Monthly Returns

Announcements / Notices

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Before making any investment decision to invest in the Product, investors should read the Product’s prospectus for details and the risk factors. Investors should ensure they fully understand the risks associated with the Product and should also consider their own investment objective and risk tolerance level. Investors are advised to seek independent professional advice before making any investments.

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