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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 Inverse

RISE US Semiconductor Inverse(SYNTH H)

21,605.33 0.49 9.15 8.77 - - - 8.03 2024.10.22
Domestic
Equity
Theme
Passive

RISE Fn Hydrogen Economy

10,943.7 0.45 8.87 32.35 20.79 14.76 11.20 11.16 2020.10.29
Global Equity China
Passive

RISE China Hang Seng TECH

9,251.91 0.14 6.83 33.57 84.30 78.63 62.41 -7.48 2020.12.16
Global Equity China
Passive

RISE China H-share(H)

10,630.3 0.021 6.25 24.51 47.56 54.17 33.21 6.30 2016.08.10
Global Equity China
Passive

RISE MSCI China (H)

10,230.11 0.6 6.09 21.90 41.44 43.01 14.91 2.30 2018.11.28
Leverage
/Inverse

RISE KTB 30Y Leverage(SYNTH)

26,311.49 0.1 4.39 3.04 10.25 31.43 - 31.56 2023.02.14
Global Fixed
Income

passive

RISE 30Y US T-Bond(JPY)(SYNTH H)

8,978.22 0.15 3.97 3.13 -8.78 0.03 - -7.70 2023.12.27
Domestic
Equity
Dividend
Passive

RISE Mid Small High Dividend

11,993.81 0.3 3.51 6.91 11.30 9.04 7.65 34.31 2017.11.02
Leverage
/Inverse

Passive

RISE F-KOSDAQ 150 Inverse

3,771.66 0.6 3.47 -9.20 -4.73 8.15 -20.06 -62.28 2017.08.01
Leverage
/Inverse

Passive

RISE Palladium Futures Inverse(H)

5,827.96 0.6 3.26 -3.98 1.88 -0.25 37.18 -41.72 2019.09.24
Domestic
Fixed Income

Passive

RISE 30Y T-Bond Enhanced

83,824.47 0.05 2.92 2.16 7.63 22.01 6.19 -3.20 2021.05.26
Domestic
Equity
Factor
Passive

RISE 200 Hi Div Co Call

8,563.7 0.4 2.80 7.30 13.49 18.50 27.47 17.25 2018.02.27
Leverage
/Inverse
Passive Inverse

RISE US Semiconductor Inverse(SYNTH H)

1Month Performance(%)
9.15
3Month Performance(%)
8.77
6Month Performance(%)
-
NAV(KRW)
21,605.33
Total Expense Ratio(%)
0.49
listing date
2024.10.22
View Details
Domestic
Equity
Theme Passive

RISE Fn Hydrogen Economy

1Month Performance(%)
8.87
3Month Performance(%)
32.35
6Month Performance(%)
20.79
NAV(KRW)
10,943.7
Total Expense Ratio(%)
0.45
listing date
2020.10.29
View Details
Global Equity China Passive

RISE China Hang Seng TECH

1Month Performance(%)
6.83
3Month Performance(%)
33.57
6Month Performance(%)
84.30
NAV(KRW)
9,251.91
Total Expense Ratio(%)
0.14
listing date
2020.12.16
View Details
Global Equity China Passive

RISE China H-share(H)

1Month Performance(%)
6.25
3Month Performance(%)
24.51
6Month Performance(%)
47.56
NAV(KRW)
10,630.3
Total Expense Ratio(%)
0.021
listing date
2016.08.10
View Details
Global Equity China Passive

RISE MSCI China (H)

1Month Performance(%)
6.09
3Month Performance(%)
21.90
6Month Performance(%)
41.44
NAV(KRW)
10,230.11
Total Expense Ratio(%)
0.6
listing date
2018.11.28
View Details
Leverage
/Inverse

RISE KTB 30Y Leverage(SYNTH)

1Month Performance(%)
4.39
3Month Performance(%)
3.04
6Month Performance(%)
10.25
NAV(KRW)
26,311.49
Total Expense Ratio(%)
0.1
listing date
2023.02.14
View Details
Global Fixed
Income
passive

RISE 30Y US T-Bond(JPY)(SYNTH H)

1Month Performance(%)
3.97
3Month Performance(%)
3.13
6Month Performance(%)
-8.78
NAV(KRW)
8,978.22
Total Expense Ratio(%)
0.15
listing date
2023.12.27
View Details
Domestic
Equity
Dividend Passive

RISE Mid Small High Dividend

1Month Performance(%)
3.51
3Month Performance(%)
6.91
6Month Performance(%)
11.30
NAV(KRW)
11,993.81
Total Expense Ratio(%)
0.3
listing date
2017.11.02
View Details
Leverage
/Inverse
Passive

RISE F-KOSDAQ 150 Inverse

1Month Performance(%)
3.47
3Month Performance(%)
-9.20
6Month Performance(%)
-4.73
NAV(KRW)
3,771.66
Total Expense Ratio(%)
0.6
listing date
2017.08.01
View Details
Leverage
/Inverse
Passive

RISE Palladium Futures Inverse(H)

1Month Performance(%)
3.26
3Month Performance(%)
-3.98
6Month Performance(%)
1.88
NAV(KRW)
5,827.96
Total Expense Ratio(%)
0.6
listing date
2019.09.24
View Details
Domestic
Fixed Income
Passive

RISE 30Y T-Bond Enhanced

1Month Performance(%)
2.92
3Month Performance(%)
2.16
6Month Performance(%)
7.63
NAV(KRW)
83,824.47
Total Expense Ratio(%)
0.05
listing date
2021.05.26
View Details
Domestic
Equity
Factor Passive

RISE 200 Hi Div Co Call

1Month Performance(%)
2.80
3Month Performance(%)
7.30
6Month Performance(%)
13.49
NAV(KRW)
8,563.7
Total Expense Ratio(%)
0.4
listing date
2018.02.27
View Details

RISE 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 RISE China Hang Seng TECH RISE 200 RISE 200 Total Return
  • 1 year Performance 78.63%상승
  • 6Month Performance 84.3%상승
  • 3Month Performance 33.57%상승
  • 1Month Performance 6.83%상승
  • 3 Year Performance 62.41%상승
  • Since Inception -7.48%하락
  • 1 year Performance -0.87%하락
  • 6Month Performance 2.69%상승
  • 3Month Performance 8.09%상승
  • 1Month Performance 1.44%상승
  • 3 Year Performance 2.66%상승
  • Since Inception 85.63%상승
  • 1 year Performance -1.01%하락
  • 6Month Performance 2.66%상승
  • 3Month Performance 8.07%상승
  • 1Month Performance 1.43%상승
  • 3 Year Performance 2.94%상승
  • Since Inception 28.62%상승
Comparing rate of return
a total net asset 152KRW 0.1 billion 11,357KRW 0.1 billion 2,179KRW 0.1 billion
Net Asset Value
(KRW)
9,251.91KRW 35,437.5KRW 19,455.6KRW
listing date 2020.12.16 2011.10.20 2020.08.21
Gross fee Year 0.14% Year 0.017% Year 0.012%