ETF constituents for CSKR

Below, a list of constituents for CSKR (iShares MSCI Korea UCITS ETF USD (Acc)) is shown. In total, CSKR consists of 87 securities.

Note: The data shown here is as of date Mai 13, 2025 (the latest that can be sourced directly from the fund provider).

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Emittententicker Name Sektor Marktwert Gewichtung (%) Kurs
005930 SAMSUNG ELECTRONICS LTD IT 39.649.886,63 2506.0 4017.0
000660 SK HYNIX INC IT 15.813.718,89 999.0 14013.0
005935 SAMSUNG ELECTRONICS NON VOTING PRE IT 5.643.118,85 357.0 3318.0
105560 KB FINANCIAL GROUP INC Financials 5.051.146,80 319.0 6537.0
035420 NAVER CORP Kommunikation 3.915.590,98 247.0 13286.0
005380 HYUNDAI MOTOR Zyklische Konsumgüter  3.906.783,74 247.0 13886.0
012450 HANWHA AEROSPACE LTD Industrie 3.743.164,73 237.0 56758.0
068270 CELLTRION INC Gesundheitsversorgung 3.542.511,45 224.0 10893.0
000270 KIA CORPORATION CORP Zyklische Konsumgüter  3.263.542,13 206.0 6615.0
055550 SHINHAN FINANCIAL GROUP LTD Financials 3.235.657,90 205.0 3657.0
086790 HANA FINANCIAL GROUP INC Financials 2.722.542,52 172.0 4582.0
005490 POSCO Materialien 2.640.895,13 167.0 18178.0
207940 SAMSUNG BIOLOGICS LTD Gesundheitsversorgung 2.598.566,94 164.0 70594.0
012330 HYUNDAI MOBIS LTD Zyklische Konsumgüter  2.270.010,94 143.0 18143.0
373220 LG ENERGY SOLUTION LTD Industrie 2.133.154,50 135.0 22025.0
196170 ALTEOGEN INC Gesundheitsversorgung 2.033.633,83 129.0 24567.0
034020 DOOSAN ENERBILITY LTD Industrie 1.935.857,93 122.0 2093.0
009540 HD KOREA SHIPBUILDING & OFFSHORE E Industrie 1.750.682,29 111.0 19978.0
035720 KAKAO CORP Kommunikation 1.698.053,65 107.0 2651.0
000810 SAMSUNG FIRE & MARINE INSURANCE LT Financials 1.692.760,58 107.0 26649.0
316140 WOORI FINANCIAL GROUP INC Financials 1.640.579,51 104.0 1260.0
138040 MERITZ FINANCIAL GROUP INC Financials 1.630.683,00 103.0 8252.0
028260 SAMSUNG C&T CORP Industrie 1.609.217,96 102.0 8775.0
033780 KT&G CORP Nichtzyklische Konsumgüter 1.583.968,16 100.0 8168.0
259960 KRAFTON INC Kommunikation 1.546.550,07 98.0 26085.0
051910 LG CHEM LTD Materialien 1.467.595,92 93.0 14331.0
402340 SK SQUARE LTD Industrie 1.374.220,04 87.0 7052.0
010140 SAMSUNG HEAVY INDUSTRIES LTD Industrie 1.371.247,16 87.0 1007.0
006400 SAMSUNG SDI LTD IT 1.370.047,23 87.0 12065.0
329180 HD HYUNDAI HEAVY INDUSTRIES LTD Industrie 1.325.732,94 84.0 28908.0
064350 HYUNDAI-ROTEM Industrie 1.186.969,61 75.0 7525.0
267260 HD HYUNDAI ELECTRIC LTD Industrie 1.165.112,42 74.0 24073.0
066570 LG ELECTRONICS INC Zyklische Konsumgüter  1.133.534,29 72.0 5153.0
042660 HANWHA OCEAN LTD Industrie 1.042.289,65 66.0 5485.0
009150 SAMSUNG ELECTRO MECHANICS LTD IT 1.030.468,39 65.0 8895.0
032830 SAMSUNG LIFE LTD Financials 1.007.101,76 64.0 6085.0
028300 HLB INC Gesundheitsversorgung 986.245,24 62.0 4031.0
015760 KOREA ELECTRIC POWER CORP Versorger 958.033,43 61.0 1818.0
MARGIN_KRW FUTURES KRW MARGIN BALANCE Cash und/oder Derivate 929.867,41 59.0 7.0
047810 KOREA AEROSPACE INDUSTRIES LTD Industrie 919.988,42 58.0 6078.0
096770 SK INNOVATION LTD Energie 895.409,55 57.0 6368.0
352820 HYBE LTD Kommunikation 894.932,05 57.0 18849.0
000100 YUHAN CORP Gesundheitsversorgung 886.721,68 56.0 7610.0
003550 LG CORP Industrie 864.074,19 55.0 4822.0
021240 COWAY LTD Zyklische Konsumgüter  834.127,42 53.0 7257.0
018260 SAMSUNG SDS LTD IT 812.820,94 51.0 9213.0
005387 HYUNDAI MOTOR S2 PREF Zyklische Konsumgüter  812.706,15 51.0 10963.0
KRW KRW CASH Cash und/oder Derivate 803.005,29 51.0 7.0
011200 HMM LTD Industrie 789.516,22 50.0 1440.0
034730 SK INC Industrie 723.860,72 46.0 9622.0
247540 ECOPRO BM LTD Industrie 707.722,00 45.0 6975.0
086520 ECOPRO LTD Industrie 699.999,29 44.0 3314.0
086280 HYUNDAI GLOVIS LTD Industrie 630.605,06 40.0 8097.0
024110 INDUSTRIAL BANK OF KOREA Financials 628.929,95 40.0 1084.0
005830 DB INSURANCE LTD Financials 624.850,87 39.0 6530.0
003490 KOREAN AIR LINES LTD Industrie 607.103,28 38.0 1585.0
323410 KAKAOBANK CORP Financials 551.445,98 35.0 1610.0
071050 KOREA INVESTMENT HOLDINGS LTD Financials 550.202,39 35.0 6311.0
003670 POSCO FUTURE M LTD Industrie 546.344,57 35.0 8478.0
090430 AMOREPACIFIC CORP Nichtzyklische Konsumgüter 527.768,95 33.0 8662.0
042700 HANMI SEMICONDUCTOR LTD IT 510.342,03 32.0 5718.0
010120 LS ELECTRIC LTD Industrie 509.541,49 32.0 16554.0
267250 HD HYUNDAI LTD Energie 508.280,96 32.0 5697.0
005385 HYUNDAI MOTOR S1 PREF Zyklische Konsumgüter  504.644,66 32.0 10843.0
010130 KOREA ZINC INC Materialien 490.262,96 31.0 57746.0
051900 LG H & H LTD Nichtzyklische Konsumgüter 440.965,73 28.0 22943.0
006800 MIRAE ASSET SECURITIES CO LTD Financials 436.294,94 28.0 907.0
161390 HANKOOK TIRE & TECHNOLOGY LTD Zyklische Konsumgüter  430.128,27 27.0 2810.0
271560 ORION CORP Nichtzyklische Konsumgüter 423.394,87 27.0 8648.0
326030 SK BIOPHARMACEUTICALS LTD Gesundheitsversorgung 417.541,21 26.0 6495.0
017670 SK TELECOM LTD Kommunikation 401.966,75 25.0 3643.0
032640 LG UPLUS CORP Kommunikation 398.561,34 25.0 902.0
180640 HANJIN KAL Zyklische Konsumgüter  396.574,28 25.0 8182.0
241560 DOOSAN BOBCAT INC Industrie 388.245,53 25.0 3417.0
034220 LG DISPLAY LTD IT 378.020,69 24.0 612.0
047050 POSCO INTERNATIONAL CORP Industrie 372.236,77 24.0 3424.0
005940 NH INVESTMENT & SECURITIES LTD Financials 345.686,87 22.0 1143.0
010950 S-OIL CORP Energie 344.638,38 22.0 3706.0
011070 LG INNOTEK LTD IT 318.177,54 20.0 10815.0
097950 CJ CHEILJEDANG CORP Nichtzyklische Konsumgüter 288.580,71 18.0 16837.0
036570 NCSOFT CORP Kommunikation 286.986,83 18.0 10617.0
011790 SKC LTD Materialien 275.316,79 17.0 7059.0
MLIFT CASH COLLATERAL USD MLIFT Cash und/oder Derivate 215.000,00 14.0 10000.0
450080 ECOPRO MATERIALS LTD Industrie 178.924,43 11.0 3572.0
0064001F SAMSUNG SDI R RIGHTS LTD IT 35.772,12 2.0 2241.0
USD USD CASH Cash und/oder Derivate 12.274,37 1.0 10000.0
KMM5 KOSPI2 INDEX JUN 25 Cash und/oder Derivate 0,00 0.0 25.0