HANetf INQQ India Internet UCITS ETF Acc

HANetf INQQ India Internet UCITS ETF Acc

INQQ.L
HANetf INQQ India Internet UCITS ETF AccGB flagLondon Stock Exchange
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USD
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Capital Structure

FRC

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Working Capital

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Growth Rates

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Quarterly Revenue

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Quarterly Earnings Per Share

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Quarterly Dividends Per Share

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Company Description

APIChatGPT
Sector
Financial Services
Industry
Asset Management
Address
3rd Floor, 55 Charlemont Place Dublin 2 Ireland D02 F985
IPO Date
Nov 15, 2023
Website
hanetf.com
Business
HANetf INQQ India Internet UCITS ETF Acc (INQQ.L) is a UCITS-compliant exchange-traded fund managed by HANetf that seeks to track the performance of the India Internet universe by delivering exposure to Indian internet and adjacent technology companies through a transparent, ETF structure; HANetf serves as the sponsor and platform provider, enabling the listing, administration, and ongoing management of INQQ as a fund vehicle. The description below reflects the company's profile and the ETF's key attributes, as of the latest publicly available information. Main Products and Services: india internet UCITS ETFs and related fund products; ETF creation and management platform services; customized white-label ETF strategies; index replication and fund administration; fund distribution and marketing support; regulatory and compliance services for UCITS funds; collateral management and risk monitoring; liquidity and trading support; investor communications and reporting; stewardship and governance services; partnership and platform collaboration for asset managers seeking to launch UCITS ETFs; educational and outreach resources for fund sponsors and distributors. Latest Major Company Changes: recent partnerships and strategic alliances enhancing product scope and distribution; new fund launches within the HANetf platform, expanding geographic reach and thematic exposures; acquisitions or strategic investments related to platform capabilities or index offerings; significant operational changes tied to regulatory changes in UCITS funds; rebranding or reorganizations within product teams or platform structure; expansions of service capabilities in liquidity management, risk analytics, and cross-border distribution. Additional Context: Industry and business segments: exchange-traded funds; fund sponsorship and platform services; thematic and strategy-based ETFs; UCITS-compliant funds; fintech-enabled asset management platform. Target markets or customer types: institutional and retail investors; wealth managers; financial advisors; fund distributors; asset managers seeking UCITS ETF launches. Geographic operations: Europe (UCITS framework), with distribution to European markets and other regions where UCITS funds are accessible; regulatory and listing considerations in EU jurisdictions. Founding year and headquarters location: HANetf operates as a sponsor and platform provider; headquarters and primary operations are in Europe, with a global producer and distributor network. Subsidiaries or parent company relationships: HANetf acts as sponsor and platform operator for INQQ.L and similar funds, coordinating with underlying index providers, administrators, and distributors.