Below, a list of constituents for CSKR (iShares MSCI Korea UCITS ETF USD (Acc)) is shown. In total, CSKR consists of 98 securities.
Note: The data shown here is as of date Feb. 17, 2025 (the latest that can be sourced directly from the fund provider).
Click here to go back to the full list of ETFs.
Emittententicker | Name | Sektor | Marktwert | Gewichtung (%) | Kurs |
005930 | SAMSUNG ELECTRONICS LTD | IT | 36.468.052,99 | 2398.0 | 3884.0 |
000660 | SK HYNIX INC | IT | 15.775.082,19 | 1037.0 | 14705.0 |
005935 | SAMSUNG ELECTRONICS NON VOTING PRE | IT | 5.135.633,45 | 338.0 | 3173.0 |
035420 | NAVER CORP | Kommunikation | 4.360.829,58 | 287.0 | 15329.0 |
105560 | KB FINANCIAL GROUP INC | Financials | 4.130.117,92 | 272.0 | 5618.0 |
068270 | CELLTRION INC | Gesundheitsversorgung | 3.948.761,18 | 260.0 | 12589.0 |
005380 | HYUNDAI MOTOR | Zyklische Konsumgüter | 3.709.403,34 | 244.0 | 13859.0 |
000270 | KIA CORPORATION CORP | Zyklische Konsumgüter | 3.085.795,31 | 203.0 | 6541.0 |
207940 | SAMSUNG BIOLOGICS LTD | Gesundheitsversorgung | 2.870.236,53 | 189.0 | 82195.0 |
055550 | SHINHAN FINANCIAL GROUP LTD | Financials | 2.860.455,47 | 188.0 | 3361.0 |
012450 | HANWHA AEROSPACE LTD | Industrie | 2.514.994,80 | 165.0 | 40022.0 |
005490 | POSCO | Materialien | 2.392.141,22 | 157.0 | 17341.0 |
086790 | HANA FINANCIAL GROUP INC | Financials | 2.360.178,05 | 155.0 | 4183.0 |
373220 | LG ENERGY SOLUTION LTD | Industrie | 2.253.111,95 | 148.0 | 24520.0 |
196170 | ALTEOGEN INC | Gesundheitsversorgung | 2.161.801,00 | 142.0 | 27641.0 |
012330 | HYUNDAI MOBIS LTD | Zyklische Konsumgüter | 2.020.602,76 | 133.0 | 17029.0 |
000810 | SAMSUNG FIRE & MARINE INSURANCE LT | Financials | 1.778.768,12 | 117.0 | 29479.0 |
034020 | DOOSAN ENERBILITY LTD | Industrie | 1.727.893,04 | 114.0 | 1956.0 |
035720 | KAKAO CORP | Kommunikation | 1.657.099,22 | 109.0 | 2709.0 |
006400 | SAMSUNG SDI LTD | IT | 1.643.090,80 | 108.0 | 15225.0 |
051910 | LG CHEM LTD | Materialien | 1.603.211,49 | 105.0 | 16474.0 |
028260 | SAMSUNG C&T CORP | Industrie | 1.576.069,92 | 104.0 | 9045.0 |
138040 | MERITZ FINANCIAL GROUP INC | Financials | 1.549.513,07 | 102.0 | 8289.0 |
033780 | KT&G CORP | Nichtzyklische Konsumgüter | 1.530.209,75 | 101.0 | 7450.0 |
316140 | WOORI FINANCIAL GROUP INC | Financials | 1.477.668,95 | 97.0 | 1188.0 |
028300 | HLB INC | Gesundheitsversorgung | 1.377.109,80 | 91.0 | 5924.0 |
009540 | HD KOREA SHIPBUILDING & OFFSHORE E | Industrie | 1.301.196,16 | 86.0 | 15641.0 |
402340 | SK SQUARE LTD | Industrie | 1.287.606,16 | 85.0 | 6929.0 |
259960 | KRAFTON INC | Kommunikation | 1.265.885,76 | 83.0 | 22369.0 |
267260 | HD HYUNDAI ELECTRIC LTD | Industrie | 1.192.403,07 | 78.0 | 25838.0 |
066570 | LG ELECTRONICS INC | Zyklische Konsumgüter | 1.154.183,12 | 76.0 | 5507.0 |
010140 | SAMSUNG HEAVY INDUSTRIES LTD | Industrie | 1.146.333,21 | 75.0 | 882.0 |
032830 | SAMSUNG LIFE LTD | Financials | 1.132.291,88 | 74.0 | 7186.0 |
009150 | SAMSUNG ELECTRO MECHANICS LTD | IT | 1.128.120,69 | 74.0 | 10224.0 |
096770 | SK INNOVATION LTD | Energie | 1.085.257,68 | 71.0 | 8913.0 |
329180 | HD HYUNDAI HEAVY INDUSTRIES LTD | Industrie | 989.894,92 | 65.0 | 22647.0 |
042660 | HANWHA OCEAN LTD | Industrie | 978.329,33 | 64.0 | 5403.0 |
000100 | YUHAN CORP | Gesundheitsversorgung | 951.893,18 | 63.0 | 8643.0 |
MARGIN_KRW | FUTURES KRW MARGIN BALANCE | Cash und/oder Derivate | 926.563,92 | 61.0 | 7.0 |
003550 | LG CORP | Industrie | 898.891,66 | 59.0 | 4835.0 |
064350 | HYUNDAI-ROTEM | Industrie | 874.735,52 | 58.0 | 5813.0 |
247540 | ECOPRO BM LTD | Industrie | 872.448,22 | 57.0 | 9059.0 |
086520 | ECOPRO LTD | Industrie | 849.954,01 | 56.0 | 4321.0 |
005387 | HYUNDAI MOTOR S2 PREF | Zyklische Konsumgüter | 789.937,64 | 52.0 | 11216.0 |
018260 | SAMSUNG SDS LTD | IT | 761.139,42 | 50.0 | 9080.0 |
352820 | HYBE LTD | Kommunikation | 750.946,80 | 49.0 | 16647.0 |
015760 | KOREA ELECTRIC POWER CORP | Versorger | 743.904,28 | 49.0 | 1470.0 |
034730 | SK INC | Industrie | 738.704,03 | 49.0 | 10349.0 |
011200 | HMM LTD | Industrie | 648.421,17 | 43.0 | 1255.0 |
005830 | DB INSURANCE LTD | Financials | 646.934,59 | 43.0 | 7137.0 |
021240 | COWAY LTD | Zyklische Konsumgüter | 646.483,67 | 43.0 | 5930.0 |
086280 | HYUNDAI GLOVIS LTD | Industrie | 645.850,32 | 42.0 | 8747.0 |
042700 | HANMI SEMICONDUCTOR LTD | IT | 601.606,71 | 40.0 | 6999.0 |
003490 | KOREAN AIR LINES LTD | Industrie | 599.980,44 | 39.0 | 1654.0 |
024110 | INDUSTRIAL BANK OF KOREA | Financials | 590.010,37 | 39.0 | 1073.0 |
010130 | KOREA ZINC INC | Materialien | 574.068,11 | 38.0 | 56392.0 |
003670 | POSCO FUTURE M LTD | Industrie | 568.332,04 | 37.0 | 9315.0 |
KRW | KRW CASH | Cash und/oder Derivate | 563.772,47 | 37.0 | 7.0 |
323410 | KAKAOBANK CORP | Financials | 549.751,47 | 36.0 | 1672.0 |
326030 | SK BIOPHARMACEUTICALS LTD | Gesundheitsversorgung | 546.853,16 | 36.0 | 8865.0 |
047810 | KOREA AEROSPACE INDUSTRIES LTD | Industrie | 542.435,04 | 36.0 | 3766.0 |
010120 | LS ELECTRIC LTD | Industrie | 489.538,05 | 32.0 | 16578.0 |
005385 | HYUNDAI MOTOR S1 PREF | Zyklische Konsumgüter | 483.865,71 | 32.0 | 10834.0 |
090430 | AMOREPACIFIC CORP | Nichtzyklische Konsumgüter | 472.877,30 | 31.0 | 8213.0 |
071050 | KOREA INVESTMENT HOLDINGS LTD | Financials | 462.503,99 | 30.0 | 5618.0 |
267250 | HD HYUNDAI LTD | Energie | 458.802,87 | 30.0 | 5362.0 |
017670 | SK TELECOM LTD | Kommunikation | 413.738,23 | 27.0 | 3912.0 |
051900 | LG H & H LTD | Nichtzyklische Konsumgüter | 402.243,88 | 26.0 | 21849.0 |
028050 | SAMSUNG E&A LTD | Industrie | 401.297,75 | 26.0 | 1299.0 |
011790 | SKC LTD | Materialien | 398.628,98 | 26.0 | 10696.0 |
034220 | LG DISPLAY LTD | IT | 390.275,76 | 26.0 | 660.0 |
161390 | HANKOOK TIRE & TECHNOLOGY LTD | Zyklische Konsumgüter | 387.961,71 | 26.0 | 2650.0 |
010950 | S-OIL CORP | Energie | 374.684,75 | 25.0 | 4224.0 |
241560 | DOOSAN BOBCAT INC | Industrie | 372.837,97 | 25.0 | 3433.0 |
271560 | ORION CORP | Nichtzyklische Konsumgüter | 351.855,86 | 23.0 | 7533.0 |
036570 | NCSOFT CORP | Kommunikation | 332.785,74 | 22.0 | 11847.0 |
011070 | LG INNOTEK LTD | IT | 318.251,79 | 21.0 | 11382.0 |
032640 | LG UPLUS CORP | Kommunikation | 313.960,81 | 21.0 | 745.0 |
047050 | POSCO INTERNATIONAL CORP | Industrie | 303.609,42 | 20.0 | 2920.0 |
066970 | L&F LTD | Industrie | 287.275,85 | 19.0 | 5743.0 |
006800 | MIRAE ASSET SECURITIES CO LTD | Financials | 280.495,29 | 18.0 | 598.0 |
097950 | CJ CHEILJEDANG CORP | Nichtzyklische Konsumgüter | 277.788,72 | 18.0 | 17063.0 |
005940 | NH INVESTMENT & SECURITIES LTD | Financials | 270.990,98 | 18.0 | 1050.0 |
180640 | HANJIN KAL | Zyklische Konsumgüter | 268.974,13 | 18.0 | 5847.0 |
078930 | GS HOLDINGS | Industrie | 257.357,63 | 17.0 | 2813.0 |
011780 | KUMHO PETRO CHEMICAL LTD | Materialien | 251.326,42 | 17.0 | 8386.0 |
128940 | HANMI PHARM LTD | Gesundheitsversorgung | 228.105,71 | 15.0 | 18104.0 |
348370 | ENCHEM LTD | Materialien | 210.823,61 | 14.0 | 7366.0 |
450080 | ECOPRO MATERIALS LTD | Industrie | 196.804,47 | 13.0 | 5792.0 |
251270 | NETMARBLE CORP | Kommunikation | 186.977,11 | 12.0 | 3159.0 |
302440 | SK BIOSCIENCE LTD | Gesundheitsversorgung | 177.243,53 | 12.0 | 3347.0 |
011170 | LOTTE CHEMICAL CORP | Materialien | 166.536,59 | 11.0 | 4398.0 |
MLIFT | CASH COLLATERAL USD MLIFT | Cash und/oder Derivate | 157.000,00 | 10.0 | 10000.0 |
022100 | POSCO DX COMPANY LTD | IT | 136.699,93 | 9.0 | 1367.0 |
051915 | LG CHEM PREFERRED STOCK LTD | Materialien | 125.618,37 | 8.0 | 8545.0 |
GBP | GBP CASH | Cash und/oder Derivate | 7.294,13 | 0.0 | 12607.0 |
KMH5 | KOSPI2 INDEX MAR 25 | Cash und/oder Derivate | 0,00 | 0.0 | 24.0 |
USD | USD CASH | Cash und/oder Derivate | -33.145,86 | -2.0 | 10000.0 |