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MCHS Holdings Changes

Matthews China Discovery Active ETF MCHS
1W: -1.9% 1M: -3.3% 3M: -18.1% YTD: +17.9% 1Y: +16.4%
$39.27
-0.03 (-0.08%)
 
Weekly Expected Move ±1.7%
$38 $39 $39 $40 $41
ETF NASDAQ · AUM $2.9M
Total Changes (90d)
159
New Holdings
16
Removed Holdings
20
442 changes · Page 1 of 9
Date Holding Name Ticker Change Type Old Value New Value
2026-10-01 301128.SZ 301128.SZ New — 10800 shares
2026-09-25 605111.SS 605111.SS shares 59700 60244
2026-09-25 9988.HK 9988.HK shares 25400 26900
2026-09-25 603699.SS 603699.SS shares 105800 111700
2026-09-25 000333.SZ 000333.SZ shares 85400 47700
2026-09-25 300757.SZ 300757.SZ Removed 2800 shares —
2026-09-25 0700.HK 0700.HK shares 3500 8500
2026-09-25 1801.HK 1801.HK shares 34500 44500
2026-09-25 1651.HK 1651.HK shares 70500 78000
2026-09-21 1109.HK 1109.HK Removed 100500 shares —
2026-09-14 0425.HK 0425.HK shares 157100 176300
2026-09-03 3037.TW 3037.TW shares 15000 6000
2026-09-01 3037.TW 3037.TW shares 16000 15000
2026-08-28 300502.SZ 300502.SZ Removed 2500 shares —
2026-08-28 688008.SS 688008.SS shares 12702 10225
2026-08-28 3308.HK 3308.HK Removed 800 shares —
2026-08-28 2379.TW 2379.TW Removed 7000 shares —
2026-08-24 6187.TWO 6187.TWO New — 6000 shares
2026-08-24 0700.HK 0700.HK shares 3100 3500
2026-08-24 688825.SS 688825.SS shares 11400 22848
2026-08-24 3308.HK 3308.HK shares 1400 800
2026-08-24 9988.HK 9988.HK shares 18300 25400
2026-08-20 688825.SS 688825.SS New — 11400 shares
2026-08-17 0631.HK 0631.HK shares 402000 449000
2026-08-17 605376.SS 605376.SS shares 8900 2000
2026-08-17 0HGV.L 0HGV.L shares 750 1476
2026-08-17 300408.SZ 300408.SZ New — 6700 shares
2026-08-17 605111.SS 605111.SS shares 48700 59700
2026-08-17 1651.HK 1651.HK shares 55000 70500
2026-08-13 300757.SZ 300757.SZ shares 2300 2800
2026-08-07 300757.SZ 300757.SZ shares 1600 2300
2026-08-07 9988.HK 9988.HK shares 12600 18300
2026-08-07 3037.TW 3037.TW shares 12000 16000
2026-08-06 0HGV.L 0HGV.L New — 750 shares
2026-08-04 0700.HK 0700.HK New — 3100 shares
2026-08-04 9988.HK 9988.HK New — 12600 shares
2026-08-04 601100.SS 601100.SS shares 6300 12000
2026-08-04 688008.SS 688008.SS shares 11420 12702
2026-08-04 3308.HK 3308.HK shares 2900 1400
2026-08-04 300502.SZ 300502.SZ shares 4100 2500
2026-08-03 601231.SS 601231.SS Removed 112000 shares —
2026-08-03 1729.HK 1729.HK Removed 22000 shares —
2026-08-03 688361.SS 688361.SS Removed 3201 shares —
2026-08-03 603699.SS 603699.SS shares 104700 105800
2026-08-03 3750.HK 3750.HK shares 15800 19000
2026-08-03 688008.SS 688008.SS shares 9361 11420
2026-08-03 000333.SZ 000333.SZ shares 81900 85400
2026-08-03 9999.HK 9999.HK shares 6311 7362
2026-08-03 3308.HK 3308.HK New — 2900 shares
2026-08-03 300308.SZ 300308.SZ Removed 2900 shares —
1 2 3 ... 9 Next →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms