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CSOP KOSPI

03121

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About

Name
CSOP KOSPI
Index tracked
KOSPI 200 TR KRW
Type
Equity
Expense ratio
0.99%
Management fee
0.99%
Dividend policy
Annually
NAV
HKD 6.5842 (09/17/2026)
Issued units
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Listing date
Jun 17, 2026
Sponsor
CSOP Asset Management Limited
Custodian
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ETF Documents

Last updatedType
08/11/2026Prospectus