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S&P Greater China 50 Index

S&P Greater China 50 Index is an investable index containing the largest and most liquid blue-chip stocks listed on the Hong Kong, Shanghai, Shenzhen, and Taiwan stock exchanges. The index seeks to provide investors with the opportunity to participate in the growth and innovation of the Greater China region, as well as take advantage of the cross-border synergies that exist between each market in the region.

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Performance Data

(as of 11-Sep-2012 )
Daily Annualized
Index Name Adjusted Market Cap ($Million) Index Level Performance
1 Day MTD QTD YTD
TOTAL RETURNS
S&P/StanChart Greater China Index Total Return N/A 1,711.78 .42% 2.51% 3.36% 9.25%
PRICE RETURNS
S&P/StanChart Greater China Index 1,044,290.71 1,330.54 .4% 2.03% 1.52% 5.53%
Index Name Performance
(as of 31-Aug-2012 )
1 Year 3 Year 5 Year
TOTAL RETURNS
S&P/StanChart Greater China Index Total Return -.69% 4.74% -1.7%
PRICE RETURNS
S&P/StanChart Greater China Index -4.19% 1.43% -4.84%

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Index Level Performance

  (as of 11-Sep-2012)
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Cumulative Performance

Top 10 Constituents by Market Cap

(as of 11-Sep-2012)
Constituent Symbol GICS® Sector Price ($)
Taiwan Semiconductor Manufacturing Co Ltd 2330 Information Technology 84.4
China Mobile Ltd. 941 Telecommunication Services 82.1
HSBC Holdings Plc 5 Financials 69.8
Tencent Holdings Ltd. 700 Information Technology 247.2
Hon Hai Precision Industry Co Ltd 2317 Information Technology 90.4
CNOOC Ltd. 883 Energy 14.7
PetroChina Co Ltd H Shares 857 Energy 9.45
Hutchison Whampoa Ltd. 13 Industrials 70.1
CLP Holdings Ltd. 2 Utilities 64.5
Chunghwa Telecom Co Ltd 2412 Telecommunication Services 90.6