Einddatum - Alle 43 ETFs in één oogopslag

Naam
Beleggingscategorie
AUM
Gem. Volume
Aanbieder
ExpenseRatio
Beleggingssegment
Index
Oprichtingsdatum
NAV
KBV
K/W (koers/winstverhouding)
Vermogensverdeling529,545 mld.
-
Tiger ETF0,19EinddatumS&P 500 and Korea Target Date 2045 Index - KRW - Benchmark TR Gross25-3-202511.645,9800
Vermogensverdeling439,499 mld.
-
KODEX0,30Einddatum30-6-202216.610,8100
Vermogensverdeling102,516 mld.
-
KODEX0,23Einddatum30-6-202215.447,2600
KB RISE TDF2050 Active ETF
442570.KQ
KR7442570008
Vermogensverdeling96,613 mld.
-
KB RISE0,18EinddatumiSelect Strategic Asset Allocation TDF 2050 Index - KRW - Benchmark TR Net22-9-202216.006,2800
Vermogensverdeling89,625 mld.
-
KODEX0,30Einddatum22-7-202511.206,9900
Vermogensverdeling77,675 mld.
-
KODEX0Einddatum30-6-202213.795,8600
KIM ACE TDF2050 Active ETF Units
0021E0.KQ
KR70021E0003
Vermogensverdeling45,546 mld.
-
ACE0,35EinddatumBloomberg Multi Asset Target-Date 2050 KRW Index - KRW - Benchmark TR Net11-3-202512.078,7800
Vermogensverdeling38,424 mld.
-
Hanwha0,20Einddatum30-6-202217.814,8400
KB RISE TDF2040 Active ETF Units
442560.KQ
KR7442560009
Vermogensverdeling19,942 mld.
-
KB RISE0EinddatumiSelect Tactical Asset Allocation TDF 2040 Index - KRW - Benchmark Price Return22-9-202215.253,7700
KIM ACE TDF2030 Active ETF Units
0021D0.KQ
KR70021D0004
Vermogensverdeling15,029 mld.
-
ACE0,30Einddatum11-3-202511.082,1900
KB RISE TDF2030 Active ETF Units
442550.KQ
KR7442550000
Vermogensverdeling12,03 mld.
-
KB RISE0,18Einddatum22-9-202214.081,1100
Vermogensverdeling8,511 mld.
-
Kiwoom0,38EinddatumDow Jones Target 2050 Index30-6-202217.015,7300
Vermogensverdeling8,304 mld.
-
Kiwoom0,34EinddatumDow Jones Target 2040 Index30-6-202216.601,5500
Vermogensverdeling7,493 mld.
-
Kiwoom0,30EinddatumDow Jones Target 2030 Index30-6-202214.977,5400
Vermogensverdeling3,178 mld.
-
Hanwha0,18Einddatum30-6-202215.148,3900
Vermogensverdeling2,808 mld.
-
Hanwha0Einddatum30-6-202213.379,3400
Vermogensverdeling2,507 mld.
-
Hanwha0Einddatum30-6-20229.905,4700
Vermogensverdeling71,293 mln.
21.100,77
iShares0,10Einddatum17-10-202334,6000
Vermogensverdeling67,645 mln.
21.184,52
iShares0,11Einddatum17-10-202335,9800
Vermogensverdeling55,622 mln.
17.345,23
iShares0,11Einddatum17-10-202337,0900
Vermogensverdeling54,759 mln.
24.405,77
iShares0,10Einddatum17-10-202333,3700
Vermogensverdeling51,935 mln.
13.946,95
iShares0,11Einddatum19-10-202338,1900
Vermogensverdeling34,832 mln.
6.324,136
iShares0,12Einddatum19-10-202338,7000
Vermogensverdeling25,53 mln.
4.838,591
iShares0,12Einddatum19-10-202338,6800
Vermogensverdeling18,557 mln.
4.461,045
iShares0,12Einddatum19-10-202338,6600
Vermogensverdeling7,816 mln.
4.379,659
iShares0,12Einddatum12-11-202430,0600
Vermogensverdeling5,681 mln.
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Amundi0,28EinddatumFTSE Lifecycle 2030 ESG Screened Select Index - EUR - Benchmark TR Net28-1-202510,3200
Vermogensverdeling5,534 mln.
-
Amundi0,18Einddatum28-1-202510,4300
Vermogensverdeling5,174 mln.
2.142,645
iShares0,09Einddatum17-10-202328,6300
Vermogensverdeling5,163 mln.
-
Amundi0,18EinddatumFTSE Lifecycle 2033 Screened Select Index - EUR - Benchmark TR Net28-1-202510,3800
Vermogensverdeling5,081 mln.
-
Amundi0,18Einddatum11-2-202510,5000
Vermogensverdeling1,931 mln.
-
Evermore0,46Einddatum23-2-202219,3800
Vermogensverdeling1,926 mln.
-
Evermore0,30Einddatum23-2-202219,3300
Vermogensverdeling1,907 mln.
-
Evermore0,46Einddatum23-2-202219,1300
Vermogensverdeling1,02 mln.
-
Guardian0,79Einddatum7-9-202210,2000
Vermogensverdeling956.025,8
-
Evermore0,46Einddatum23-2-202219,1600
Vermogensverdeling954.720,8
-
Evermore0,45Einddatum23-2-202219,1600
Vermogensverdeling953.628,9
-
Evermore0,35Einddatum23-2-202219,1400
Vermogensverdeling-
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Fineco0Einddatum4-11-2025000
Vermogensverdeling-
-
Fineco0Einddatum4-11-2025000
Vermogensverdeling-
-
Waystone0Einddatum6-3-2025000
Vermogensverdeling-
-
KBStar ETF0EinddatumKIS Nov2023 Term Credit Index AA- or higher - KRW - Benchmark TR Net22-11-2022000
Vermogensverdeling-
-
Fineco0Einddatum4-11-2025000
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