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Performance
Fund Name, NAV(KRW), Total expenses, Performance (1Day, 1 Month, 3 Month, 6 Month, 1 year, Since listing), listing date, selection table
Fund Name Net Asset Value
(KRW)
Expense ratio
(%, per annum)
Performance (%) Inception date Compare
Leverage
/Inverse

Passive

KBSTAR US T-Bond Futures Inverse2X(SYNTH, H)

8,879.19 0.5 14.57 12.43 30.06 53.94 18.45 -11.21 2017.04.20
Leverage
/Inverse

Passive

KBSTAR 200 Futures Inverse 2X

3,472.34 0.6 13.90 7.81 40.47 65.73 -51.58 -65.28 2016.09.22
Leverage
/Inverse

Passive

KBSTAR F-KOSDAQ 150 Inverse

5,674.6 0.6 9.87 5.01 20.64 30.00 -38.59 -43.25 2017.08.01
Commodity
/Currency

Passive

KBSTAR Palladium Futures(H)

12,196.97 0.6 9.58 17.49 -15.46 8.39 21.92 21.97 2019.09.24
Leverage
/Inverse

Passive

KBSTAR 200 Futures Inverse

6,649.23 0.6 6.86 4.29 19.46 31.02 -24.05 -33.51 2016.09.12
Leverage
/Inverse

Passive

KBSTAR US T-Bond Futures Inverse(H)

9,800.31 0.4 6.26 6.18 15.49 24.53 12.21 -2.00 2017.04.20
Leverage
/Inverse

Passive

KBSTAR China H Fut Inv

13,927.65 0.591 6.19 16.57 14.42 24.16 25.51 39.28 2018.03.23
Leverage
/Inverse

Passive

KBSTAR KTB 10Y Fut Inv

55,726.67 0.07 5.70 3.69 9.95 16.15 22.11 11.45 2018.05.11
Leverage
/Inverse

Passive

KBSTAR FKTB 5Y Duration Following Inverse

55,151.3 0.07 3.44 2.20 5.99 9.16 - 10.30 2021.08.31
Global Fixed
Income

Active

KBSTAR US Short-Term IG Corporate Bond

10,511.35 0.1 3.03 - - - - 5.11 2022.07.29
Leverage
/Inverse

Passive

KBSTAR KTB 3Y Futures Inverse

106,360.78 0.07 2.43 1.57 4.25 6.13 6.78 6.36 2017.11.09
Global Equity US
Passive

KBSTAR U.S. Preferred Securities

10,655.36 0.5 0.92 6.78 5.77 -1.63 - 6.55 2020.05.19
Leverage
/Inverse
Passive

KBSTAR US T-Bond Futures Inverse2X(SYNTH, H)

1Month Performance(%)
14.57
3Month Performance(%)
12.43
6Month Performance(%)
30.06
NAV(KRW)
8,879.19
Total Expense Ratio(%)
0.5
listing date
2017.04.20
View Details
Leverage
/Inverse
Passive

KBSTAR 200 Futures Inverse 2X

1Month Performance(%)
13.90
3Month Performance(%)
7.81
6Month Performance(%)
40.47
NAV(KRW)
3,472.34
Total Expense Ratio(%)
0.6
listing date
2016.09.22
View Details
Leverage
/Inverse
Passive

KBSTAR F-KOSDAQ 150 Inverse

1Month Performance(%)
9.87
3Month Performance(%)
5.01
6Month Performance(%)
20.64
NAV(KRW)
5,674.6
Total Expense Ratio(%)
0.6
listing date
2017.08.01
View Details
Commodity
/Currency
Passive

KBSTAR Palladium Futures(H)

1Month Performance(%)
9.58
3Month Performance(%)
17.49
6Month Performance(%)
-15.46
NAV(KRW)
12,196.97
Total Expense Ratio(%)
0.6
listing date
2019.09.24
View Details
Leverage
/Inverse
Passive

KBSTAR 200 Futures Inverse

1Month Performance(%)
6.86
3Month Performance(%)
4.29
6Month Performance(%)
19.46
NAV(KRW)
6,649.23
Total Expense Ratio(%)
0.6
listing date
2016.09.12
View Details
Leverage
/Inverse
Passive

KBSTAR US T-Bond Futures Inverse(H)

1Month Performance(%)
6.26
3Month Performance(%)
6.18
6Month Performance(%)
15.49
NAV(KRW)
9,800.31
Total Expense Ratio(%)
0.4
listing date
2017.04.20
View Details
Leverage
/Inverse
Passive

KBSTAR China H Fut Inv

1Month Performance(%)
6.19
3Month Performance(%)
16.57
6Month Performance(%)
14.42
NAV(KRW)
13,927.65
Total Expense Ratio(%)
0.591
listing date
2018.03.23
View Details
Leverage
/Inverse
Passive

KBSTAR KTB 10Y Fut Inv

1Month Performance(%)
5.70
3Month Performance(%)
3.69
6Month Performance(%)
9.95
NAV(KRW)
55,726.67
Total Expense Ratio(%)
0.07
listing date
2018.05.11
View Details
Leverage
/Inverse
Passive

KBSTAR FKTB 5Y Duration Following Inverse

1Month Performance(%)
3.44
3Month Performance(%)
2.20
6Month Performance(%)
5.99
NAV(KRW)
55,151.3
Total Expense Ratio(%)
0.07
listing date
2021.08.31
View Details
Global Fixed
Income
Active

KBSTAR US Short-Term IG Corporate Bond

1Month Performance(%)
3.03
3Month Performance(%)
-
6Month Performance(%)
-
NAV(KRW)
10,511.35
Total Expense Ratio(%)
0.1
listing date
2022.07.29
View Details
Leverage
/Inverse
Passive

KBSTAR KTB 3Y Futures Inverse

1Month Performance(%)
2.43
3Month Performance(%)
1.57
6Month Performance(%)
4.25
NAV(KRW)
106,360.78
Total Expense Ratio(%)
0.07
listing date
2017.11.09
View Details
Global Equity US Passive

KBSTAR U.S. Preferred Securities

1Month Performance(%)
0.92
3Month Performance(%)
6.78
6Month Performance(%)
5.77
NAV(KRW)
10,655.36
Total Expense Ratio(%)
0.5
listing date
2020.05.19
View Details

KBSTAR ETF HOT Rank

노출 기간 필터 Since listing 1Month 3Month 6Month 1Year
Investment notice
- The information provided on this website is based on reliable sources, but its accuracy and completeness are not guaranteed.
- Financial investment products are not protected by the Korea Deposit Insurance Corporation in accordance with the Depositor Protection Act, and a loss of investment principal may occur, which belongs to the investor.
- Past performance does not guarantee future profits.
- In the case of a collective investment scheme that invests in foreign securities, asset values may be lost due to risks caused by market, political, and economic conditions in the target country.
- Derivatives may lose all or a significant portion of the investment principal in a short period of time due to high price volatility, and there is a risk that the counterparty may not be able to fulfill the terms of the contract when investing in over-the-counter derivatives.
- Before investing, be sure to read the investment prospectus and contract recommendation document regarding the investment subject, redemption method, and fee.
= Product, Product comparison table
Product KBSTAR China Hang Seng TECH KBSTAR 200 KBSTAR 200 Total Return
  • 1 year Performance -31.98%하락
  • 6Month Performance -10.92%하락
  • 3Month Performance -14.47%하락
  • 1Month Performance -7.11%하락
  • 3 Year Performance -%
  • Since Inception -43.69%하락
  • 1 year Performance -25.67%하락
  • 6Month Performance -17.72%하락
  • 3Month Performance -4.18%하락
  • 1Month Performance -6.87%하락
  • 3 Year Performance 14.51%상승
  • Since Inception 49.57%상승
  • 1 year Performance -25.49%하락
  • 6Month Performance -17.46%하락
  • 3Month Performance -4.26%하락
  • 1Month Performance -6.88%하락
  • 3 Year Performance -%
  • Since Inception 3.77%상승
Comparing rate of return
a total net asset 64KRW 0.1 billion 10,486KRW 0.1 billion 478KRW 0.1 billion
Net Asset Value
(KRW)
5,631.39KRW 30,003.25KRW 15,696.24KRW
listing date 2020.12.16 2011.10.20 2020.08.21
Gross fee 연 0.14% 연 0.017% 연 0.012%