Global X US Treasury 0-3 Month ETF: Unit HKD

Exchange Code Listed Last trade Delisted
HKCIS 03440  2024-12-13    
Stock code:

Table rows with no holding change: include exclude

Total holdings in CCASS

Row Holding
date
Holding Change Holders Stake
%
Issued
shares
As at date
1 2025-07-23 2,820,000 45,000 31 100.0000 2,820,000 2025-07-22
2 2025-07-03 2,775,000 30,000 25 100.0000 2,775,000 2025-07-02
3 2025-06-30 2,745,000 16,900 25 100.0000 2,745,000 2025-06-17
4 2025-06-24 2,728,100 8,100 24 99.3843 2,745,000 2025-06-17
5 2025-06-18 2,720,000 15,000 24 99.0893 2,745,000 2025-06-17
6 2025-06-10 2,705,000 30,000 24 99.6317 2,715,000 2025-06-09
7 2025-06-09 2,675,000 11,000 24 98.5267 2,715,000 2025-06-09
8 2025-06-06 2,664,000 10,000 23 99.2179 2,685,000 2025-04-11
9 2025-06-05 2,654,000 -5,000 22 98.8454 2,685,000 2025-04-11
10 2025-05-28 2,659,000 -4,000 22 99.0317 2,685,000 2025-04-11
11 2025-05-12 2,663,000 -22,000 20 99.1806 2,685,000 2025-04-11
12 2025-04-14 2,685,000 1,125,000 17 100.0000 2,685,000 2025-04-11
13 2025-01-16 1,560,000 90,000 9 100.0000 1,560,000 2025-01-15
14 2025-01-10 1,470,000 30,000 8 100.0000 1,470,000 2025-01-09
15 2024-12-13 1,440,000 2 100.0000 1,440,000 2024-12-12

Sign up for our free newsletter

Recommend Renavon to a friend

Copyright & disclaimer, Privacy policy

Back to top