Due to the index’s concentration in the technology sector

Due to the index’s The index’s performance may be more volatile than other broadbas stock indices. The Fund’s price

fluctuations may be greater than those of exchangetrad funds that track a broader index.

This fund is highly relevant to technology themes. Technology businesses must comply with complex

laws and regulations such as privacy, data greenland email list 150000 contact leads protection, content regulation, intellectual property,

competition, protection of minors, consumer protection and taxation. These laws and regulations are

subject to change and their interpretation is uncertain, which could result in claims, changes in

business practices, penalties, increas operating costs, or ruc user growth, user engagement or

advertising interaction, or otherwise harm technology businesses. The above factors may affect the

business andor profitability of the technology companies invest by the Fund, and therefore affect the net asset value of the Fund.

The base currency of this fund is US dollar

But the trading currencies of this fund are Hong Kong dollar and US dollar. The Fund’s NAV and its

performance may be adversely affect by fluctuations in the exchange rates between such currencies

and the Base Currency and by changes geographic segmentation in exchange rate controls.
The borrower may fail to return the securities on time or even at all. The Fund may suffer losses as a

result and there may be delays in recovering loan securities. This may limit the Fund’s ability to meet

its delivery or payment obligations pursuant to remption requests. As part of a securities lending

transaction, there is a risk of insufficient collateral value due to inaccurate pricing of the loan securities

or changes in the value of the loan securities.

This could result in significant losses for the Fund

The trading price of Shares on the Hong Kong Stock Exchange is driven by market factors such as the

supply and demand conditions of the Shares. As a result, Shares may trade at significant premiums or

discounts to the Fund’s net asset value.
A distribution is paid out of capital or effectively out calling list of capital, meaning a return or withdrawal of part of an investor’s original investment or of any capital gains attributable to that original investment. Any such distribution may result in an immiate decrease in the net asset value per share of the Fund and will ruce the capital available for future investments Due to the index’s.

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