XI2CSOPCOIN

07311

About

Name
XI2CSOPCOIN
Index tracked
Coinbase Global, Inc. TR USD
Type
Other
Expense ratio
1.6%
Management fee
1.6%
Dividend policy
Annually
NAV
HKD 5.1074 (10/04/2026)
Issued units
--
Listing date
Mar 21, 2025
Sponsor
CSOP Asset Management Limited
Custodian
--

ETF Documents

Last updatedType
08/11/2026Prospectus
09/07/2026Factsheet