The best way to invest in

China

Access China's largest listed companies spanning consumer, technology, and financial sectors. This ETF offers exposure to the growth of domestic consumption and innovation-driven industries in one of the world's largest economies.
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580+ Chinese listed companies
Sign up and invest with free buy orders

We’re licensed by the Securities Commission Malaysia (Licence eCMSL/A0352/2018)

RETURNS DATA

Invest in the world's second-largest economy

1 Year Returns

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Disclaimer

Create your China portfolio

StashAway ETF Explorer is the smart way to invest in 90+ global asset classes, including China.

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It's cost-effective

  • Start investing today to get unlimited free buy orders for your next month.
  • After, it's only $1.99 USD per buy or sell order, excluding SST.
  • No additional management fee, no matter how much you invest.
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It's simple

  • Build your portfolio in as little as 1 minute.
  • Automate recurring investments for ease of mind.
  • No minimum balance, no lock-ins, and high liquidity mean you can access your funds anytime.
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It's intelligent

  • Our investment team analyses thousands of ETFs to identify cost-efficient, tax-efficient, and well-managed options.
  • We swap underlying ETFs if a better alternative surfaces, saving you more over time.
Cost-effective icon

It's cost-effective

  • Start investing today to get unlimited free buy orders for your next month.
  • After, it's only $1.99 USD per buy or sell order, excluding SST.
  • No additional management fee, no matter how much you invest.
Simple icon

It's simple

  • Build your portfolio in as little as 1 minute.
  • Automate recurring investments for ease of mind.
  • No minimum balance, no lock-ins, and high liquidity mean you can access your funds anytime.
Intelligent icon

It's intelligent

  • Our investment team analyses thousands of ETFs to identify cost-efficient, tax-efficient, and well-managed options.
  • We swap underlying ETFs if a better alternative surfaces, saving you more over time.

GET STARTED WITH FREE BUY ORDERS

Own Chinese stocks with one investment

Invest in China's economic powerhouses and technology champions

Asset Class Overview

China Snapshot

Key information across returns, asset class profile, and investment details.

Returns

Annualised since inception
-3.81%
Since 31 August 2021
1-year annualised
-4.97%
Since 30 June 2025
Year-to-date
-7.38%
Since 2026
Positive years since inception
50.00%
of calendar years

Fund Profile

Asset type
Equities
Fund inception
2021

Fundamentals

Expense ratio
0.20%
Annual ETF expense ratio
1-year dividend yield
2.00%
Trailing 12-month yield
Currency denomination
USD
US Dollar

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Why Invest in China?

Why invest

China equity exposure

Invest in large- and mid-cap companies operating in or listed in the world's second-largest economy. Returns reflect both domestic drivers and global trade and tech dynamics.

What sets it apart

Broad Chinese market coverage

500+ companies across banks, insurers, tech, e-commerce, EV companies and more.

Who it's for

Investors who want exposure to China's growth or to diversify from developed markets.

What to expect

Geopolitical and policy sensitivity

Policy shifts and global trade tensions can drive bigger swings than broader equity benchmarks.

Disclaimer

RETURNS DATA

Annual returns since 2021

Growth driven by China's leading companies

Did you know icon

Did you know?

China's stock market has approximately 5,000 listed companies and a market capitalisation exceeding $10 trillion, making it the world's second-largest equity market. However, foreign investors cannot directly own many Chinese-listed shares; instead, they access the market through structures like H-shares listed in Hong Kong or American Depositary Receipts. China's market is also notably distinct from its economy — its largest listed sectors are financials and consumer, while its world-leading manufacturing and export industries are largely state-owned and less accessible to foreign investors.

PORTFOLIO BREAKDOWN

Sector exposure

Communications

37.8%

Financial

20.0%

Consumer, Cyclical

9.7%

Consumer, Non-cyclical

8.3%

Technology

7.2%

Industrial

5.5%

Basic Materials

4.9%

Energy

3.7%

Utilities

1.6%

Diversified

0.3%

Source: Bloomberg. Weights are approximate and subject to change on index rebalance.