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Domestic
Fixed Income
Passive

RISE KTB 3Y Futures (432600)

Update : 2025.12.05

NAV

55,154KRW

+70.84상승 (0.13%)

Market Price per share (KRW)

55,145KRW

+85상승 (0.15%)

※ t-1 last price

trading volume

5shares

AUM

KRW 30.6billion

RISE KTB 3Y Futures (432600)

KEY POINT

Seek to earn capital gains from interest rate fluctuations by investing in The F-KTB 3Y.

KEY POINT

Seek to have an effect similar to that of investment in 3Y KTB

Basic information

Download trading information

Update : 2025.12.05
ETF name(Code), Benchmark Index, Inception date, creation unit, Net Asset (KRW 0.1 billion), Trustee, Rule of Dividend payment, Market Price per share (KRW), iNAV per share (KRW), trading volume (share), Total Expense ratio table
ETF Name (code) Benchmark Index Inception date Creation Unit AUM (KRW)
KB RISE KTB 3Y Futures ETF
(432600)
F-KTB Index 2022.06.14 2,000 30,665,617,682
Trustee Market Price per share (KRW) NAV Trading Volume (shares)
하나은행 55,145
※ t-1 last price
55,153 5
authorized participant, Liquidity provider table
Total Expense Ratio Distribution Frequency
Year 0.07% (Designated participating company : 0.001%, Collective investment : 0.049%, trust : 0.01%, General affairs : 0.01%) End date of the accounting period
Authorized Participants Liquidity Providers
NH Investment & Securities, Meritz Securities, KB Securities, IBK Securities NH Investment & Securities, Meritz Securities, IBK Securities
ETF name(Code), Benchmark Index, Inception date, creation unit, AUM(0.1 billion) (KRW), Trustee, Rule of Dividend payment, Market Price per share (KRW), iNAV per share (KRW), trading volume (share), Total Expense ratio table
ETF Name(Code) Benchmark Index
KB RISE KTB 3Y Futures ETF

(432600)
F-KTB Index
Inception date Creation Unit
2022.06.14 2,000
AUM(0.1 billion) (KRW) Trustee
30,665,617,682 하나은행
Market Price per share (KRW) iNAV per share (KRW)
55,145
※ t-1 last price
55,153
Trading Volume (shares)
5
authorized participant, Liquidity provider table
Total Expense Ratio
Year 0.07% (Designated participating company : 0.001%, Collective investment : 0.049%, trust : 0.01%, General affairs : 0.01%)
Distribution Frequency
End date of the accounting period
Authorized Participants
NH Investment & Securities, Meritz Securities, KB Securities, IBK Securities
Liquidity Providers
NH Investment & Securities, Meritz Securities, IBK Securities

Index Introduction

F-KTB Index is calculated based on the nearest month contracts traded on the three-year KTB futures market. However, when they fall in between D-2 and D-1 day from the last trading day of the nearest month contract, the index is calculated using that of the nearest month and the next-nearest one. In the case of the last trading day, the next-nearest one is used, not the nearest one.

View detailed index information

TOP 10 Holdings

Update : 2025-12-05
Rank , Name, proportion table
Rank Name Weight (%)
1 원화예금 100.00
2 F 202512 99.86

Performance

performance

excel download

Update : 2025-12-05

 (as of Oct : %)

The result of above Net Asset Value performance is the rate of return assuming distribution reinvestment.

classification, 1Month, 3Month, 6Month, 1year, 3year, YTD (Year to date), Since inception, NAV, Benchmark Index, Outperformance table
classification 1Month 3Month 6Month 1year 3year YTD
(Year to date)
Since
inception
NAV -0.45 -1.02 -0.63 0.49 8.15 0.83 10.31
Benchmark Index -0.61 -1.54 -1.64 -1.77 -0.39 -1.26 0.70
Outperformance 0.15 0.52 1.0 2.25 8.54 2.09 9.61

daily Performance

excel download

date, market price (KRW), NAV (KRW)
date Market price (KRW) NAV (KRW) Standard Tax Base Price (KRW)
closing price Daily Return(%) closing price Daily Return(%)
2025.12.05 55,145 0.154상승 55,153.99 0.128상승 55,157.11
2025.12.04 55,060 0.027상승 55,083.15 0.071상승 55,086.27
2025.12.03 55,045 -0.027하락 55,043.61 -0.079하락 55,046.74
2025.12.02 55,060 -0.018하락 55,087.53 0.091상승 55,090.65
2025.12.01 55,070 -0.045하락 55,037.17 -0.156하락 55,040.72
2025.11.28 55,095 0.009상승 55,118.12 0.109상승 55,119.33
2025.11.27 55,090 -0.298하락 55,057.96 -0.379하락 55,061
2025.11.26 55,255 -0.018하락 55,267.62 0.033상승 55,269.5
2025.11.25 55,265 0.054상승 55,249.21 0.023상승 55,251.09
2025.11.24 55,235 -0.108하락 55,235.97 -0.079하락 55,237.84
2025.11.21 55,295 0.172상승 55,274.91 0.128상승 55,275.11
2025.11.20 55,200 -0.153하락 55,203.79 -0.123하락 55,206.01
2025.11.19 55,285 0.063상승 55,272.08 0.005상승 55,274.89
2025.11.18 55,250 0.081상승 55,269.06 0.124상승 55,271.09
2025.11.17 55,205 0.136상승 55,200.21 0.126상승 55,200.81
2025.11.14 55,130 -0.099하락 55,126 -0.084하락 55,127.82
2025.11.13 55,185 0.127상승 55,172.5 -0.047하락 55,176.13
2025.11.12 55,115 -0.397하락 55,198.76 -0.248하락 55,206.44
2025.11.11 55,335 0.144상승 55,336.5 0.118상승 55,333.9
2025.11.10 55,255 0.045상승 55,271.22 0.073상승 55,267.98
2025.11.07 55,230 -0.135하락 55,227.34 -0.114하락 55,224.35
2025.11.06 55,305 -0.243하락 55,290.8 -0.200하락 55,290.13

Holdings

Name, Ticker, Number. of shares, Weight(%), market price (KRW)
No. (Number) Name Ticker Number of shares Weight(%) Market price (KRW)
1 설정현금액 CASH00000001 110,166,302 100 110,166,302
2 원화예금 KRD010010001 110,166,302 100 110,166,302
3 F 202512 KR4165WC0006 1.04 99.86 110,015,872
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.