| ISIN |
Наименование эмитента; страна эмитента |
Описание выпуска |
CFI |
Версия стандарта присвоения CFI кода |
Состояние ISIN [?] |
Нумерующее агентство |
Источник информации |
По состоянию на |
| HK0000646965 |
AGRICULTURAL DEVELOPMENT BANK OF CHINA; CN |
FIXED RATE BONDS, CMU ISSUE NO.: BCMKFB20009 |
DBFUFR |
2015 | Deleted |
Hong Kong Exchanges and Clearing Limited, HONG KONG |
ASBF |
28.10.2023 |
| HK0000651213 |
ISHARES ASIA TRUST - ISHARES HANG SENG TECH ETF; HK |
UNIT TRUST (AGT451,BQA621), FUND MANAGER: BLACKROCK ASSET MANAGEMENT NORTH ASIA LIMITED |
CEOJLU |
2015 | New |
Hong Kong Exchanges and Clearing Limited, HONG KONG |
ASBF |
01.10.2021 |
| HK0000720745 |
CSOP ETF SERIES III - CSOP HANG SENG INDEX ETF; HK |
UNIT TRUST (BQT360,BQT361). FUND MANAGER: CSOP ASSET MANAGEMENT LIMITED |
CEOJES |
2015 | New |
Hong Kong Exchanges and Clearing Limited, HONG KONG |
ASB |
19.12.2022 |
| HK0000723178 |
PREMIA ETF SERIES - PREMIA CHINA USD PROPERTY BOND ETF; HK |
UNIT TRUST (BJX734,BQR168). FUND MANAGER: PREMIA PARTNERS COMPANY LIMITED |
CEOJES |
2015 | New |
Hong Kong Exchanges and Clearing Limited, HONG KONG |
ASB |
15.02.2023 |
| HK0000723194 |
PREMIA ETF SERIES - PREMIA CHINA USD PROPERTY BOND ETF; HK |
UNIT TRUST (BJX734,BQR168). FUND MANAGER: PREMIA PARTNERS COMPANY LIMITED |
CEOJES |
2015 | New |
Hong Kong Exchanges and Clearing Limited, HONG KONG |
ASB |
15.02.2023 |
| HK0000723228 |
PREMIA ETF SERIES - PREMIA CHINA TREASURY AND POLICY BANK BOND LONG DURATION ETF; HK |
UNIT TRUST (BJX734,BQR167). FUND MANAGER: PREMIA PARTNERS COMPANY LIMITED |
CEOJES |
2015 | Updated |
Hong Kong Exchanges and Clearing Limited, HONG KONG |
ASBF |
26.08.2022 |
| HK0000732427 |
VANKE REAL ESTATE (HONG KONG) COMPANY LIMITED; HK |
FIXED RATE NOTES, CMU ISSUE NO.: HSBCFN21022 |
DTFUFR |
2015 | New |
|
ASBF |
01.10.2021 |
| HK0000732930 |
CHINA DEVELOPMENT BANK HONG KONG BRANCH; CN |
FIXED RATE NOTES, CMU ISSUE NO.: CDBHFN21023 |
DTFUFR |
2015 | New |
Hong Kong Exchanges and Clearing Limited, HONG KONG |
ASB |
05.04.2022 |
| HK0000745908 |
YUEXIU PROPERTY COMPANY LIMITED; HK |
PUBLIC COMPANY LIMITED BY SHARES (0362639). AFTER SHARE CONSOLIDATION 5 INTO 1, BOARD LOT 1,000 |
ESVUFR |
2015 | New |
Hong Kong Exchanges and Clearing Limited, HONG KONG |
ASB |
05.11.2023 |
| HK0000761400 |
PREMIA ETF SERIES - PREMIA CHINA STAR50 ETF; HK |
UNIT TRUST (BJX734,BRE694). FUND MANAGER: PREMIA PARTNERS COMPANY LIMITED |
CEOJES |
2015 | New |
Hong Kong Exchanges and Clearing Limited, HONG KONG |
ASB |
19.12.2022 |
| HK0000777794 |
THE MINISTRY OF FINANCE OF THE PEOPLE'S REPUBLIC OF CHINA; CN |
FIXED RATE BONDS, CMU ISSUE NO.: BCMKFB21002 |
DBFUDB |
2015 | Deleted |
Hong Kong Exchanges and Clearing Limited, HONG KONG |
ASBF |
28.09.2023 |
| HK0000782851 |
ISHARES ASIA TRUST - ISHARES CHINA GOVERNMENT BOND ETF; HK |
UNIT TRUST (AGT451,BRL998). FUND MANAGER: BLACKROCK ASSET MANAGEMENT NORTH ASIA LIMITED |
CEOJLU |
2015 | New |
Hong Kong Exchanges and Clearing Limited, HONG KONG |
ASB |
01.03.2022 |
| HK0000789823 |
THE GOVERNMENT OF THE HK SPCL ADM REGN OF THE PRC; HK |
GOVERNMENT BONDS, CMU ISSUE NO.: HSBCGB21050 |
DBFXFR |
2015 | New |
Hong Kong Exchanges and Clearing Limited, HONG KONG |
ASB |
11.01.2022 |
| HK0000804119 |
CHINAAMC GLOBAL ETF SERIES - CHINAAMC MSCI CHINA A 50 CONNECT ETF; HK |
UNIT TRUST (BFN421,BRX121). FUND MANAGER: CHINA ASSET MANAGEMENT (HONG KONG) LIMITED |
CEOXLU |
2015 | New |
Hong Kong Exchanges and Clearing Limited, HONG KONG |
ASB |
19.12.2022 |
| HK0000804135 |
CHINAAMC GLOBAL ETF SERIES - CHINAAMC MSCI CHINA A 50 CONNECT ETF; HK |
UNIT TRUST (BFN421,BRX121). FUND MANAGER: CHINA ASSET MANAGEMENT (HONG KONG) LIMITED |
CEOXLU |
2015 | New |
Hong Kong Exchanges and Clearing Limited, HONG KONG |
ASB |
19.12.2022 |
| HK0000806155 |
E FUND ETFS TRUST - E FUND (HK) MSCI CHINA A50 CONNECT ETF; HK |
UNIT TRUST (AZJ209,BRX185). FUND MANAGER: E FUND MANAGEMENT (HONG KONG) CO., LIMITED |
CEOIEU |
2015 | New |
Hong Kong Exchanges and Clearing Limited, HONG KONG |
ASB |
19.12.2022 |
| HK0000871464 |
TRACKER FUND OF HONG KONG; HK |
UNIT TRUST (AFG988). FUND MANAGER: HANG SENG INVESTMENT MANAGEMENT LIMITED. TRADING CURRENCY: RMB |
CEOIES |
2015 | New |
Hong Kong Exchanges and Clearing Limited, HONG KONG |
ASB |
19.12.2022 |
| HK0001121166 |
CSOP LEVERAGED AND INVERSE SERIES - CSOP NVIDIA DAILY (2X) LEVERAGED PRODUCT; |
UNIT TRUST (BHJ203,BVY620). FUND MANAGER:CSOP ASSET MANAGEMENT LIMITED, TRADING CURRENCY:USD |
CEOGDU |
2015 | |
|
ANNA Free ISIN Lookup, Письмо ННА |
03.10.2025 |
| HK0001121364 |
CSOP LEVERAGED AND INVERSE SERIES - CSOP SAMSUNG ELECTRONICS DAILY (-2X) INVERSE PRODUCT; |
UNIT TRUST (BHJ203,BVZ636). FUND MANAGER:CSOP ASSET MANAGEMENT LIMITED, TRADING CURRENCY:HKD |
CEOGDU |
2015 | |
|
ANNA Free ISIN Lookup, Письмо ННА |
03.10.2025 |
| HK0001156824 |
IRC LIMITED; |
PUBLIC COMPANY LIMITED BY SHARES (52399423). TEMPORARY TRADING COUNTER FROM 27JUN2025 TO 1AUG2025 |
ESVUFR |
2015 | |
|
ANNA Free ISIN Lookup, Письмо ННА |
27.06.2025 |