{"action":"elsewhere","city":"HONG KONG","companyRegistrationNumber":null,"conformityFlag":"CONFORMING","country":"HK","createdAt":"2026-05-08T00:00:00Z","entityCategory":"FUND","entityStatus":"ACTIVE","entitySubCategory":null,"expirationReason":null,"expiredAt":null,"family":{"children":[{"active":true,"country":"HK","legalName":"CHINAAMC CHOICE OFFSHORE RMB BOND FUND","lei":"213800AL25KF1DKY7583","relationshipTypes":["IS_SUBFUND_OF"]},{"active":true,"country":"HK","legalName":"CHINAAMC FRANKLIN FTSE INNOVATIVE DRUGS ETF","lei":"213800Y5ZKGD6STOL630","relationshipTypes":["IS_SUBFUND_OF"]},{"active":true,"country":"HK","legalName":"CHINAAMC FRANKLIN HK-US EQUITY CASH FLOW FOCUS ETF","lei":"2138003IC16663XNKI07","relationshipTypes":["IS_SUBFUND_OF"]},{"active":true,"country":"HK","legalName":"CHINAAMC FTSE HONG KONG GROWTH ETF","lei":"21380076SP8NQA8K4L25","relationshipTypes":["IS_SUBFUND_OF"]},{"active":true,"country":"HK","legalName":"CHINAAMC FTSE HONG KONG HIGH DIVIDEND INCOME ETF","lei":"213800Q3JU4QNKVWLY83","relationshipTypes":["IS_SUBFUND_OF"]},{"active":true,"country":"HK","legalName":"CHINAAMC HK-US HALO ETF","lei":"213800SWPSTVXSIG5T79","relationshipTypes":["IS_SUBFUND_OF"]}],"childrenTotal":6,"exceptions":[{"category":"DIRECT_ACCOUNTING_CONSOLIDATION_PARENT","reasons":["NON_CONSOLIDATING"],"references":[]},{"category":"ULTIMATE_ACCOUNTING_CONSOLIDATION_PARENT","reasons":["NON_CONSOLIDATING"],"references":[]}],"parents":[{"active":true,"country":"HK","legalName":"華夏基金(香港)有限公司","lei":"2138002H4QLTWIPNVA44","relationshipTypes":["IS_FUND-MANAGED_BY"]}]},"headquartersAddress":"C/O CHINA ASSET MANAGEMENT (HONG KONG) LIMITED, 37/F, BANK OF CHINA TOWER, 1 GARDEN ROAD","headquartersCity":"HONG KONG","headquartersCountry":"HK","headquartersPostalCode":null,"headquartersRegion":null,"lastUpdatedAt":"2026-05-08T14:10:29.103Z","legalAddress":"C/O CHINA ASSET MANAGEMENT (HONG KONG) LIMITED, 37/F, BANK OF CHINA TOWER, 1 GARDEN ROAD","legalFormAbbreviation":null,"legalFormCode":"8888","legalFormName":null,"legalJurisdiction":"HK","legalName":"CHINAAMC CHOICE FUND","lei":"213800RN2GW4YH2YGB02","managingLou":"213800WAVVOPS85N2205","managingLouName":"London Stock Exchange","managingLouWebsite":"https://www.lseg.com/LEI","nextRenewalAt":"2027-05-08T00:00:00Z","otherLegalForm":"PUBLIC FUND","postalCode":null,"region":null,"registeredAt":"2026-05-08T00:00:00Z","registrationAuthorityId":"RA000390","registrationAuthorityName":"Securities and Futures Commission","registrationAuthorityWebsite":"http://www.sfc.hk/web/EN/regulatory-functions/products/product-authorization/list-of-investment-products.html","registrationNumber":"BXO492","registrationNumberFormatted":"BXO492","registrationStatus":"ISSUED","served":false,"successorLeis":[],"validationAuthorityEntityId":"BXO492","validationAuthorityId":"RA000390","validationAuthorityName":"Securities and Futures Commission","validationSources":"PARTIALLY_CORROBORATED"}