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  • Mutual Funds
  • Interval Offering Fund
  • HK Exchange Traded Funds (“ETFs”)
  • Leveraged & Inverse Products
Fund Name Stock Code Currency NAV Daily Change Daily Change(%)* Dealing Date
Bosera SZSE ChiNext Daily (2x) Leveraged Product 7234 HKD 3.3408 +0.0648+1.98% 28/03/2024
Fund Name NAVDaily ChangeDaily Change(%)*
Bosera SZSE ChiNext Daily (2x) Leveraged Product
7234 | HKD
3.3408
28/03/2024
+0.0648+1.98%
* It indicates the change compared with the previous trading day

For more information, please contact Bosera Asset
Management (International) Co., Limited directly.

  • (852)2537 6658
  • HKSales@bosera.com
  • Suite 4109, Jardine House, One Connaught Place, Central, Hong Kong