- Name
- A CSOP RMB MM
- Index tracked
- 7-Day Fixing Repo Rate TR CNY
- Type
- Capital Preservation
- Management fee
- 0.49%
- Dividend policy
- Semi-Annually
- NAV
- HKD 196.5525 (08/18/2026)
- Issued units
- --
- Listing date
- Jan 20, 2015
- Sponsor
- CSOP Asset Management Limited
- Custodian
- --