KBSTAR NOV2025 TERM CREDITKBSTAR NOV2025 TERM CREDITKBSTAR NOV2025 TERM CREDIT

KBSTAR NOV2025 TERM CREDIT

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Nyckeltal

Assets under management (AUM)
Fund flows (1Y)
Dividend yield (indicated)
10.70%
Discount/Premium to NAV

Om KBSTAR NOV2025 TERM CREDIT

Issuer
KB Financial Group, Inc.
Brand
KBStar ETF
Expense ratio
0.34%
Home page
Inception date
22 nov. 2022
Index tracked
No Underlying Index
Management style
Aktiv
ISIN
KR7448600007

Classification

Asset Class
Fast avkastning
Kategori
Företag, bredbaserad
Focus
Investeringsgrad
Niche
Kortfristig
Strategi
Aktiv
Weighting scheme
Äganderätt
Selection criteria
Proprietary

Returns

1 månad3 månaderHittills i år1 år3 år5 år
Price performance
NAV total return

Utdelningar

Utdelningshistorik

Assets under management (AUM)

Fund Flows