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Price

$33.59

4pm Jan 23, 2018

LATEST Change

+$0.88 (2.69%)

LATEST Volume

3,373

Market Cap

$17.4m

The fund seeks to track the investment results of an index composed of Hong Kong equities.

Fund Details

Fund Manager: Blackrock
Inception Date: Nov 2007
Fund Structure: Exchange Traded Fund
Management Costs: 0.48%
Performance Fees: No
Average Volume: 5,719 units
Region: Asia
Industry: Hong Kong
Focus: Hong Kong
Benchmark: MSCI Hong Kong
Dividend Yield: 3.65%
Franking: 0.00%
Dividend Frequency: Bi Annual

Fund Performance

1M
3M
YTD
1Y
3Y pa
5Y pa
10Y pa
IHK
3.77%
4.35%
10.78%
22.15%
8.62%
14.81%
4.64%

Dividend History

News & Blogs

Latest Announcements

Date
Article
2018-01-18
Net Tangible Asset Backing
2018-01-15
DISTRIBUTION FOREIGN EXCHANGE RATE ANNOUNCEMENT
2018-01-11
Net Tangible Asset Backing
2018-01-05
Number of Outstanding iShares Units

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