Components Invesco China Technology ETF - USD

ETF

CQQQ

US46138E8003

Delayed Nyse 11:08:56 2024-04-26 am EDT 5-day change 1st Jan Change
33.96 USD +3.63% Intraday chart for Invesco China Technology ETF - USD +9.84% -5.47%

Composition of Invesco China Technology ETF - USD

Weight
348.4 HKD +2.65%+14.68%+18.66%9.68%
127.1 USD +1.07%+11.78%-13.29%9.51%
115.6 HKD +3.68%+21.30%+41.15%7.68%
56.5 HKD +7.01%+27.40%+6.70%5.91%
38.15 HKD +7.46%+7.01%-46.15%3.94%
8.37 HKD +6.35%+14.97%-26.45%2.43%
11.41 CNY +0.35%-0.95%-17.62%1.77%
26.1 HKD +3.78%+11.06%+8.30%1.74%
16.84 CNY -1.35%-6.29%-8.73%1.58%
1.19 HKD +43.37%+105.17%+2.59%1.50%
150 CNY -2.08%-0.07%+11.14%1.43%
15.15 CNY -0.20%-3.07%-25.99%1.39%
12.55 CNY +0.97%-1.72%-27.54%1.22%
80.61 CNY +0.15%+1.23%-27.12%1.15%
25.73 USD +2.71%+6.26%-8.05%1.10%
10.74 HKD +4.88%+18.02%-20.44%1.03%
28.35 HKD +5.59%+16.43%-2.41%0.97%
297 CNY -2.52%+3.56%-6.07%0.94%
15.46 HKD +2.79%+6.62%-18.11%0.93%
4.32 CNY +0.93%+0.47%+10.77%0.93%
182.5 CNY -0.45%+0.60%-21.11%0.90%
33.42 USD +0.59%+3.85%-15.69%0.86%
306.3 CNY +0.44%+0.37%+24.68%0.84%
57.19 CNY +0.79%-1.65%-17.24%0.82%
36.47 CNY +0.19%-2.23%-48.23%0.73%
47.09 CNY +1.88%+0.51%-28.73%0.73%
2.09 CNY -0.48%-1.42%-13.99%0.72%
76.44 CNY +0.24%-5.35%-27.78%0.72%
29.76 CNY +0.64%+3.44%-25.77%0.71%
42.98 CNY -1.01%-7.49%-7.33%0.70%
7.45 CNY -2.87%-9.48%+51.12%0.65%
135.8 CNY +0.19%-1.52%-11.60%0.64%
30.52 CNY -0.88%-1.64%-38.91%0.64%
81.44 CNY -0.28%-0.68%-22.00%0.63%
157.2 CNY -1.02%-1.96%-16.27%0.63%
7.48 CNY +1.36%-1.97%+10.81%0.61%
93.88 CNY +1.16%-4.04%-12.02%0.59%
111 CNY -1.59%-2.51%-29.22%0.55%
8.845 USD +4.92%+11.40%-19.63%0.51%
4.84 CNY 0.00%-2.81%+12.56%0.51%
96.22 CNY +0.29%+15.11%-42.33%0.48%
118.4 CNY -4.14%-0.88%-23.25%0.45%
87.6 CNY +1.17%-2.06%-37.87%0.43%
48.3 CNY +2.57%+1.39%-17.80%0.42%
8.08 CNY -1.46%-1.46%-10.32%0.42%
13.5 CNY +0.22%-1.24%+2.27%0.41%
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ETF Ratings

Description

US46138E8003
Total Expense Ratio 0.70%
Asset Class
Size
Currency
Provider
Underlying FTSE China Incl A 25% Technology Capped Net Tax Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2009-12-07
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 568 M€
AuM 1M 578 M€
AuM 3 months 587 M€
AuM 6 months 710 M€
AuM 12 months 898 M€
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