Class-specific Information
※ Click on the class identifier to view detailed information.(The 'Managed' return does not reflect the deduction of the basic fee.) |
Inception Date |
September 2, 2024 |
Settlement Date |
Every year on July 23rd |
Net Assets |
₩8,161,392,526 |
Reference Price |
1169.69 |
Tax Base Price |
1029.41 |
|
|
- Fees and Commissions
When purchasing |
Front-end Load |
Within 1.0% of the invested amount |
During the investment period |
Management fees |
0.01% |
Sales Fee |
0.50% |
Trust Fee |
0.03% |
Administration Fee |
0.02% |
When redeeming |
Back-end Load |
N/A |
Redemption Fee |
N/A |
- Performance
Period |
1 month |
3 months |
6 months |
1 year |
3 years |
5 years |
After inception |
Return(%) |
0.87 |
12.6 |
17.49 |
- |
- |
- |
16.76 |
Date |
Reference Price |
Compared to the Previous Day |
20250311 |
1169.69 | 1.11 |
20250310 |
1168.58 | -24.4 |
20250309 |
1192.98 | -0.01 |
20250308 |
1192.99 | -0.02 |
20250307 |
1193.01 | 12.68 |
20250306 |
1180.33 | 19.73 |
20250305 |
1160.60 | -9.59 |
20250304 |
1170.19 | -22.93 |
20250303 |
1193.12 | -0.01 |
20250302 |
1193.13 | -0.01 |
20250301 |
1193.14 | -0.02 |
20250228 |
1193.16 | 11.57 |
20250227 |
1181.59 | -2.44 |
20250226 |
1184.03 | -6.74 |
20250225 |
1190.77 | -15.38 |
20250224 |
1206.15 | 9.77 |
20250223 |
1196.38 | -0.02 |
20250222 |
1196.40 | -0.01 |
20250221 |
1196.41 | -2.8 |
20250220 |
1199.21 | 4.28 |
20250219 |
1194.93 | -2.65 |
20250218 |
1197.58 | 7.67 |
20250217 |
1189.91 | 23.21 |
20250216 |
1166.70 | 0 |
20250215 |
1166.70 | -0.02 |
20250214 |
1166.72 | -0.72 |
20250213 |
1167.44 | -0.19 |
20250212 |
1167.63 | 9.14 |
20250211 |
1158.49 | -3.22 |
20250210 |
1161.71 | 2.16 |
20250209 |
1159.55 | -0.01 |
20250208 |
1159.56 | 0 |
20250207 |
1159.56 | 26.05 |
20250206 |
1133.51 | 12.84 |
20250205 |
1120.67 | 8.13 |
20250204 |
1112.54 | -13.18 |
20250203 |
1125.72 | 2.59 |
20250202 |
1123.13 | -0.02 |
20250201 |
1123.15 | -0.01 |
20250131 |
1123.16 | 6.13 |
20250130 |
1117.03 | -0.02 |
20250129 |
1117.05 | 0 |
20250128 |
1117.05 | -0.02 |
20250127 |
1117.07 | -0.02 |
20250126 |
1117.09 | -0.01 |
20250125 |
1117.10 | -0.01 |
20250124 |
1117.11 | -14.1 |
20250123 |
1131.21 | 9.29 |
20250122 |
1121.92 | 2.41 |
20250121 |
1119.51 | -13.16 |
20250120 |
1132.67 | 5.96 |
20250119 |
1126.71 | -0.01 |
20250118 |
1126.72 | -0.01 |
20250117 |
1126.73 | 13.28 |
20250116 |
1113.45 | -2.56 |
20250115 |
1116.01 | -3.86 |
20250114 |
1119.87 | 3.59 |
20250113 |
1116.28 | 0.78 |
20250112 |
1115.50 | 0 |
20250111 |
1115.50 | -0.01 |
20250110 |
1115.51 | 4.38 |
20250109 |
1111.13 | -7.78 |
20250108 |
1118.91 | -0.12 |
20250107 |
1119.03 | 5.94 |
20250106 |
1113.09 | 12.75 |
20250105 |
1100.34 | 0 |
20250104 |
1100.34 | -0.01 |
20250103 |
1100.35 | -6.07 |
20250102 |
1106.42 | -0.79 |
20250101 |
1107.21 | 0.01 |
20241231 |
1107.20 | 9.27 |
20241230 |
1097.93 | -2.38 |
20241229 |
1100.31 | -0.01 |
20241228 |
1100.32 | -0.01 |
20241227 |
1100.33 | -3.75 |
20241226 |
1104.08 | 13.01 |
20241225 |
1091.07 | 0 |
20241224 |
1091.07 | 12.27 |
20241223 |
1078.80 | -12.42 |
20241222 |
1091.22 | -0.02 |
20241221 |
1091.24 | 0 |
20241220 |
1091.24 | -0.53 |
20241219 |
1091.77 | -9.65 |
20241218 |
1101.42 | -2.7 |
20241217 |
1104.12 | 11.49 |
20241216 |
1092.63 | -0.74 |
20241215 |
1093.37 | -0.01 |
20241214 |
1093.38 | -0.02 |
20241213 |
1093.40 | 4.76 |
20241212 |
1088.64 | 6.33 |
20241211 |
1082.31 | 43.51 |
20241210 |
1038.80 | 0 |
※ Notice
Collective investment products are subject to gains or losses based on the performance of the investment, and are not protected by the Deposit Insurance Corporation under the Deposit Insurance Act.
Before deciding to invest in collective investment securities, please read the prospectus carefully regarding the investment targets, fees, charges, and redemption methods.
Past performance does not guarantee future returns.
Fund-of-funds may incur additional costs, including fees and securities trading expenses, related to the underlying investment funds.
Investment value in foreign assets may fluctuate due to exchange rate changes, potentially leading to losses.
Tax standards and methods may change due to future amendments in tax laws.
This collective investment securities does not adopt a benchmark index; however, for clarity, the KOSPI return is provided as a reference.