TIGER Global BBIG Active ETF | Mirae Asset TIGER ETF
Global
Equity
Theme
Large cap
TIGER Global BBIG Active ETF
(387270)
Trading Price(KRW)
9,975
상승15.00
Standard Price(KRW)
9,995.96
상승104.69
Share
2022.09.28
Date : 2022.09.28 10:05:30
This is a 20-30 minute delay.
If there is no trading on the same day, the current price will be marked as the previous day's.

Product Specification

Table that provides information on Fund Name, Legal Structure, Benchmark Index, Total Expense Ratio, Dividend.
Fund Name TIGER Global BBIG Active ETF
Legal Structure Investment Trust, Open-end, Exchange-traded fund
Benchmark Index Nasdaq 100
Total Expense Ratio 0.55%
Dividend Last business day of Jan, Apr, Jul, Oct or end of fiscal year

Management

Table that provides information on Manager, Trustee, Investment Methodology.
Manager Mirae Asset Global Investments
Trustee Shinhan Bank
Investment Methodology Full Replication or Optimization

Trading Information

Table that provides information on Stock Exchange, Stock Code, Bloomberg, Currency Denomination, Index Multiplier, Pricing, Board Lot, Creation Unit, First Trading Date, Authorized Participants, Liquidity Providers, Transaction Tax, Short Selling, IOPV Calculation, Repo Ratio, Lending Ratio, TIGER website, KRW website.
Stock Exchange Korea Exchange
Stock Code 387270
Bloomberg 387270 KS
Currency Denomination Korean Won
Index Multiplier 1X
Pricing 10,000 Won
Board Lot 1 Share
Creation Unit 10,000 shares
First Trading Date 2021-05-25
Authorized Participants Kiwoom Securities Co., Ltd., Korea Investment & Securities, Mirae Asset Securities
Liquidity Providers Kiwoom Securities Co., Ltd., Korea Investment & Securities, Mirae Asset Securities
Transaction Tax Exempted
Short Selling Allowed and exempted from up-tick rule
IOPV Calculation Every 10 seconds, disclosed on the KRX website
TIGER website www.tigeretf.com
KRW website http://global.krx.co.kr/main/main.jsp

PERFORMANCE

Date
Index multiplier : 100
  • Tracking error: ((Fund NAV/100)-index)/index.
  • Disparate rate of between market price and NAV : (Market price - Fund NAV)/Fund NAV

PDF

NAV

Date
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