Important Notice: The ChinaAMC ESG OFC (the “Company”) and the ChinaAMC Asia ESG Bond Fund (the “Sub-Fund”) are in the process of termination, and has ceased to operate. For details, please refer to the Notice to Shareholders issued on 15 December 2025.

Hong Kong-Listed ETFs

ChinaAMC Digital Gold ETF (3418 HK/9418 HK/ 83418 HK)

Management fee

0.40% (p.a.)

35599

Listing Date

29-May-2026

Morningstar

/5

-

YTD

-

1 Year

-

3 Year

-

5 Year

-

Since Inception

-

Investment involves risks, including the loss of principal. Past performance is not indicative of future results. Before investing in ChinaAMC Digital Gold ETF (the “Fund”), investor should read the Fund’s prospectus and respective KFSs for details, including risk factors. Investors should not make investment decisions based on this material alone. Please note:

 

• The Fund aims to provide investment results that, before fees and expenses, closely correspond to the performance of the LBMA Gold Price AM (the “Benchmark”).

• The Fund will invest primarily in Bullion, and is subject to investment risk, gold market and concentration risk, risks relating to the LBMA Gold Price AM, gold custody and insurance risks (including custody risk, unallocated account risk, insurance risk), reliance on gold dealer risk, and termination risk.

• The Fund is passively managed and is subject to passive investment risks and tracking error risk.

• While the Fund’s base currency is in USD, Listed Class Shares may be traded in HKD and RMB and there are Unlisted Classes designated in currencies other than USD, therefore the Fund is subject to foreign currency risk, RMB currency and conversion risks (if applicable).

• The Custodian, the Sub-Custodian, the Gold Custodian and the Gold Dealer (also acting as the Tokenization Agent) are subsidiaries of Standard Chartered plc, and thus the Fund is subject to reliance on the same group risk.

• Listed and Unlisted Classes are subject to different pricing and dealing arrangements. NAV per Share of each class may be different due to different fees and costs. Investors of Unlisted Class may be at an advantage or disadvantage compared to investors of Listed Class.

• The Fund’s Tokenized Unlisted Classes are subject to blockchain technology risk, digital asset security risk, cybersecurity risks, delay risk, regulatory risk, potential challenges in application of existing laws, operational and technical risk, risk associated with virtual asset trading platforms.

• The Fund’s Listed Classes are subject to multi-counter trading risks, difference in trading and opening hours of the SEHK and the London Bullion market and reliance on market maker risks.

Product Details

Investment Objective

The Fund’s objective is to provide investment results that, before fees and expenses, closely correspond to the performance of the LBMA Gold Price AM.

Product Overview

Asset Class Commodity
Listing Date 29-May-2026
Base Currency USD
Custodian Standard Chartered Trustee (Hong Kong) Limited
Sub-Custodian Standard Chartered Bank (Hong Kong) Limited
Net Asset Value (mil)
Domicile Hong Kong
Management Fee 0.40%(p.a.)
Gold Custodian
Gold Dealer
Standard Chartered Bank
Gold Vault Provider HKIA Precious Metals Depository Limited
Malca-Amit Far East Ltd.
Distribution Policy No dividends will be declared or distributed.

Intra-day Estimated NAV and Market Price ( 1,2,3,4)

Latest Market Information (5,6)

Date Last Change Change(%)

Trading Information

USD Traded UnitsHKD Traded UnitsRMB Traded Units
Exchange ListingSEHK – Main BoardSEHK – Main BoardSEHK – Main Board
Commencement of Dealing29-May-202629-May-202629-May-2026
Stock Code9418341883418
Trading Board Lot Size10 shares 10 shares 10 shares
Trading CurrencyUSDHKD RMB
Reuters Code9418.HK3418.HK83418.HK
ISIN CodeHK0001279816HK0001279816HK0001279816
Bloomberg Ticker9418 HK3418 HK83418 HK
Bloomberg NAV9418NAV3418NAV83418NAV
Bloomberg iNAV9418IV3418IV83418IV
Bloomberg Shares Outstanding9418SHO3418SHO83418SHO

Index Information ( 7 )

IndexLBMA Gold Price AM
Index ProviderICE Benchmark Administration Limited
CurrencyUSD
Closing Level0
Change-
Change (%)-

Participating Dealers

  • Phillip Securities (Hong Kong) Limited
  • Prudential Brokerage Limited
  • Valuable Capital Limited
  • Huatai Financial Holdings (Hong Kong) Limited
  • Mirae Asset Securities (HK) Limited
  • Haitong International Securities Company Limited
  • China Merchants Securities (HK) Co., Limited

Market Makers

USD Traded CounterHKD Traded CounterRMB Traded Counter
Mirae Asset Securities Co., Ltd.Mirae Asset Securities Co., Ltd.Mirae Asset Securities Co., Ltd.
Optiver Trading Hong Kong LimitedOptiver Trading Hong Kong LimitedOptiver Trading Hong Kong Limited
Eclipse Options (HK) LimitedEclipse Options (HK) LimitedEclipse Options (HK) Limited

Please refer to the Hong Kong Exchanges and Clearing Limited’s website at www.hkex.com.hk for the latest lists of Market Makers.

1     Data are provided by ICE Data Indices, LLC (“ICE DATA”), is used with permission. ICE DATA, its Affiliates and their respective third-party suppliers (including but not limited to Factset Research System, Inc.) disclaim any and all warranties and representations, express and/or implied, including any warranties of merchantability or fitness for a particular purpose or use, including the index data and any data included in, related to, or derived therefrom. Neither ICE DATA, its Affiliates nor their respective third-party suppliers shall be subject to any damages or liability with respect to the adequacy, accuracy, timeliness or completeness of the Index data or any component thereof, and the index data and all components therefore are provided on an “as is” basis and your use is at your own risk. ICE DATA, its Affiliates and their respective third-party suppliers do not sponsor, endorse, or recommend China Asset Management (Hong Kong) Limited, or any of its products or services.

2     IOPV calculations are performed by ICE DATA.

3     Intra-day Market Price refers to the market price of ChinaAMC Digital Gold ETF on the date and at the time specified above, quoted from the Stock Exchange of Hong Kong Limited (the “SEHK”).

4 The near real-time indicative net asset value per share is indicative and for reference purposes only. This is updated during SEHK trading hours and real-time indicative net asset value per share in HKD or RMB is calculated using the indicative net asset value per share in USD multiplied by a real-time HKD:USD foreign exchange rate or RMB:USD foreign exchange rate provided by ICE Data Indices.

5  The last net asset value per share in HKD or RMB is indicative and for reference only and is calculated using the official last net asset value per share in USD multiplied by an assumed foreign exchange rate (i.e. not a real time exchange rate) being the HKD:USD foreign exchange rate or RMB:USD foreign exchange rate quoted by Bloomberg at 10:30 a.m. (London time) as of the same dealing day.

6     Changes of the closing price for HKD, RMB and USD Traded Units indicate the change of the closing price since previous SEHK trading day. Source of Closing Price: Bloomberg.

7     Index returns are for illustrative purposes only and are not indicative of future results. Index returns do not reflect any management fees, transaction costs or expenses. Change indicates the change since the last closing index level. Source: CF Benchmarks, Bloomberg.

^ “Dealing Day” generally means a day on which (a) the SEHK and the underlying A shares market are open; and (b) the Index is compiled and published. Please refer to the Prospectus for further details in this regard.

Returns/Historical NAVs Chart

Fund Price

Class Currency Dealing Date NAV per unit

Since launch Performance

There is currently no information available.

The information will display when available

7 Day Annualized

Holdings

Derivatives Counterparties​

Futures Contracts Holdings

There is currently no information available.
Click below button to show the details of the holdings

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Sector Breakdown

There is currently no information available.

Country Breakdown

There is currently no information available.

Yield Information

There is currently no information available.

Asset Allocation

There is currently no information available.

Tracking Difference & Error

Tracking Difference (TD):

Tracking difference is the return difference between the ETF and its underlying benchmark/ index over a certain period of time.

Tracking Error (TE):

Tracking error measures how consistently the ETF follows its benchmark/ index. It is the volatility (measured by standard deviation) of that return difference.

 

The information will display when available

There is currently no information available.

Past performance Vs Benchmark performance

Distribution History

Distribution History

^TE is measured by the standard deviation of the daily TD. The standard deviation is calculated based on the daily TD over the rolling one year period. # Rolling 1-Year TD is the rolling 1-year actual average daily tracking difference.

^TE is measured by the standard deviation of the daily TD. The standard deviation is calculated based on the daily TD over the rolling one year period. # Rolling 1-Year TD is the rolling 1-year actual average daily tracking difference.

Prospectus & Documents

Offering Documents
File name Date File Format
Prospectus 26-05-2026 PDF >
Product Key Facts 26-05-2026 PDF >

Announcements & Notices

The information will display when available

 

 

 

Investing involves risk, including possible loss of principal. Investment in emerging market countries may involve heightened risks such as increased volatility and lower trading volume, and may be subject to a greater risk of loss than investment in a developed country. Please carefully consider the Fund’s investment objectives, risk factors, and charges and expenses before investing. This and other information can be found in the relevant Fund’s prospectus. Please read the prospectus carefully before investing. ChinaAMC Funds are not sponsored, endorsed, issued, sold or promoted by their index providers (only applicable to ETFs and index funds). For details of an index provider including any disclaimer, please refer to the relevant ChinaAMC Fund offering documents.
Source: Fund performance and index data are provided by ChinaAMC and the relevant index providers (if applicable) respectively.
This website is prepared by China Asset Management (Hong Kong) Limited and has not been reviewed by the Securities and Futures Commission.

FAQs

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Important Notes:

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Important Notes:

Private Funds

ChinaAMC(HK) is uniquely positioned in the market which enables it to leverage its extensive knowledge, research capabilities and investment experience in China to deliver a range of high-value asset management or investment advisory services to institutional clients worldwide. To bridge overseas investors with China opportunities, ChinaAMC (HK) is committed to utilize its local expertise to capture enormous investment potentials in China.

The private fund products issued and managed by ChinaAMC (HK) include Cayman Islands registered funds and Luxembourg domiciled SICAV funds*.

Browse through our website and discover our investment strategies. For private fund products information, please visit the product page by logging into your account.

* SICAV fund is an open-ended collective investment scheme common in Western Europe and may be open to public investors in certain European countries depending on its registration status.

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