ETF Finder
total 136 funds
| Fund Name | Net Asset Value (KRW) |
Expense ratio (%, per annum) |
Performance (%) | Inception date | Compare | |||||
|---|---|---|---|---|---|---|---|---|---|---|
|
Leverage /Inverse Passive |
164,231.53 | 0.022 | 88.13 | 113.14 | 333.04 | 977.03 | 1,069.21 | 1,557.45 | 2016.09.12 |
|
|
Domestic Equity Theme passive |
28,253.93 | 0.2 | 58.11 | 79.39 | 120.16 | - | - | 184.83 | 2025.09.23 |
|
|
Domestic Equity Theme Passive |
61,762.9 | 0.45 | 54.90 | 113.89 | 213.66 | 489.60 | 699.86 | 541.61 | 2020.10.29 |
|
|
Domestic Equity Theme Active |
35,195.05 | 0.5 | 48.90 | 77.17 | 121.94 | 248.33 | 322.12 | 272.37 | 2021.06.10 |
|
|
Domestic Equity Dividend Passive |
92,141.73 | 0.07 | 47.71 | 64.13 | 160.76 | 373.67 | 509.53 | 809.50 | 2019.01.22 |
|
|
Domestic Equity Theme Passive |
53,486.61 | 0.3 | 46.63 | 64.70 | 146.40 | 319.92 | 441.12 | 482.65 | 2018.02.27 |
|
|
Global Equity
Global
Passive |
21,744.41 | 0.4 | 43.72 | 68.67 | 69.14 | 234.70 | 160.08 | 119.32 | 2022.02.15 |
|
|
Domestic Equity Theme Passive |
19,513.53 | 0.4 | 43.65 | 55.97 | 114.16 | 249.49 | 219.91 | 817.26 | 2008.10.22 |
|
|
Domestic Equity Theme |
37,648.09 | 0.008 | 39.04 | 55.61 | 131.04 | 263.30 | - | 300.96 | 2024.11.04 |
|
|
Domestic Equity Theme Passive |
49,988.47 | 0.4 | 38.64 | 56.87 | 115.36 | 244.94 | 197.31 | 407.62 | 2019.06.20 |
|
|
Domestic Equity representative index Passive |
125,913.34 | 0.017 | 38.61 | 53.52 | 122.86 | 258.69 | 307.99 | 577.66 | 2011.10.20 |
|
|
Domestic Equity representative index Passive |
71,036.65 | 0.012 | 38.60 | 53.49 | 122.86 | 258.75 | 307.41 | 369.61 | 2020.08.21 |
|
/Inverse Passive
- 1Month Performance(%)
- 88.13
- 3Month Performance(%)
- 113.14
- 6Month Performance(%)
- 333.04
- NAV(KRW)
- 164,231.53
- Total Expense Ratio(%)
- 0.022
- listing date
- 2016.09.12
Equity Theme passive
RISE AI Electricity Infrastructure
- 1Month Performance(%)
- 58.11
- 3Month Performance(%)
- 79.39
- 6Month Performance(%)
- 120.16
- NAV(KRW)
- 28,253.93
- Total Expense Ratio(%)
- 0.2
- listing date
- 2025.09.23
Equity Theme Passive
- 1Month Performance(%)
- 54.90
- 3Month Performance(%)
- 113.89
- 6Month Performance(%)
- 213.66
- NAV(KRW)
- 61,762.9
- Total Expense Ratio(%)
- 0.45
- listing date
- 2020.10.29
Equity Theme Active
RISE System Semiconductor Active
- 1Month Performance(%)
- 48.90
- 3Month Performance(%)
- 77.17
- 6Month Performance(%)
- 121.94
- NAV(KRW)
- 35,195.05
- Total Expense Ratio(%)
- 0.5
- listing date
- 2021.06.10
Equity Dividend Passive
RISE Large Cap High Dividend 10 TR
- 1Month Performance(%)
- 47.71
- 3Month Performance(%)
- 64.13
- 6Month Performance(%)
- 160.76
- NAV(KRW)
- 92,141.73
- Total Expense Ratio(%)
- 0.07
- listing date
- 2019.01.22
Equity Theme Passive
- 1Month Performance(%)
- 46.63
- 3Month Performance(%)
- 64.70
- 6Month Performance(%)
- 146.40
- NAV(KRW)
- 53,486.61
- Total Expense Ratio(%)
- 0.3
- listing date
- 2018.02.27
RISE Global HydrogenEconomy Indxx
- 1Month Performance(%)
- 43.72
- 3Month Performance(%)
- 68.67
- 6Month Performance(%)
- 69.14
- NAV(KRW)
- 21,744.41
- Total Expense Ratio(%)
- 0.4
- listing date
- 2022.02.15
Equity Theme Passive
- 1Month Performance(%)
- 43.65
- 3Month Performance(%)
- 55.97
- 6Month Performance(%)
- 114.16
- NAV(KRW)
- 19,513.53
- Total Expense Ratio(%)
- 0.4
- listing date
- 2008.10.22
Equity Theme
- 1Month Performance(%)
- 39.04
- 3Month Performance(%)
- 55.61
- 6Month Performance(%)
- 131.04
- NAV(KRW)
- 37,648.09
- Total Expense Ratio(%)
- 0.008
- listing date
- 2024.11.04
Equity Theme Passive
- 1Month Performance(%)
- 38.64
- 3Month Performance(%)
- 56.87
- 6Month Performance(%)
- 115.36
- NAV(KRW)
- 49,988.47
- Total Expense Ratio(%)
- 0.4
- listing date
- 2019.06.20
Equity representative index Passive
- 1Month Performance(%)
- 38.61
- 3Month Performance(%)
- 53.52
- 6Month Performance(%)
- 122.86
- NAV(KRW)
- 125,913.34
- Total Expense Ratio(%)
- 0.017
- listing date
- 2011.10.20
Equity representative index Passive
- 1Month Performance(%)
- 38.60
- 3Month Performance(%)
- 53.49
- 6Month Performance(%)
- 122.86
- NAV(KRW)
- 71,036.65
- Total Expense Ratio(%)
- 0.012
- listing date
- 2020.08.21
RISE ETF HOT Rank
- 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.