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S&P China & Hong Kong BMI

The S&P China & Hong Kong BMI index is designed as a tool for institutional investors to gain exposure to all eligible Chinese and Hong Kong securities that are listed in Hong Kong, including H-Shares, Red Chips, and Hong Kong companies. This index makes it possible for domestic Chinese investors to gain access to the Greater China market.

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Performance Data

(as of 10-Sep-2012 )
Daily Annualized
Index Name Adjusted Market Cap ($Million) Index Level Performance
1 Day MTD QTD YTD
TOTAL RETURNS
S&P China & Hong Kong (US Dollar) Gross Total Return N/A 255.09 .25% 2.09% 2.14% 6.55%
PRICE RETURNS
S&P China & Hong Kong (US Dollar) 1,010,449.19 199.28 .25% 1.77% 1.58% 3.69%
Index Name Performance
(as of 31-Aug-2012 )
1 Year 3 Year 5 Year
TOTAL RETURNS
S&P China & Hong Kong (US Dollar) Gross Total Return -7.27% 2.55% N/A
PRICE RETURNS
S&P China & Hong Kong (US Dollar) -10.15% -.2% N/A

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Index Level Performance

  (as of 10-Sep-2012)
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Cumulative Performance

Top 10 Constituents by Market Cap

(as of 10-Sep-2012)
Constituent Symbol GICS® Sector Price ($)
China Mobile Ltd. 941 Telecommunication Services 81.7
China Construction Bank Corp H Shares 939 Financials 5.07
Industrial and Commercial Bank of China Ltd H Shares 1398 Financials 4.26
Tencent Holdings Ltd. 700 Information Technology 245.4
CNOOC Ltd. 883 Energy 14.34
AIA Group Ltd 1299 Financials 28.15
PetroChina Co Ltd H Shares 857 Energy 9.37
Bank of China Ltd H Shares 3988 Financials 2.84
China Life Insurance Co Ltd H Shares 2628 Financials 21.85
Hutchison Whampoa Ltd. 13 Industrials 69.8