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CSOP KOSPI
03121
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Start trading
Overview
Overview
News
News
Posts
Posts
Wiki
Wiki
Ratings
Ratings
Composition
Composition
Dividends
Dividends
About
Name
CSOP KOSPI
Index tracked
KOSPI 200 TR KRW
Type
Equity
Expense ratio
0.99%
Management fee
0.99%
Dividend policy
Annually
NAV
HKD 6.4014
(07/22/2026)
Issued units
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Listing date
Jun 17, 2026
Sponsor
CSOP Asset Management Limited
Custodian
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ETF Documents
Last updated
Type
07/07/2026
Prospectus