Product Information

ETF View

ETF Visual
Risk ranking
High Risk
Type
PP
RP

NH-Amundi HANARO Biokorea Active ETF[Equity]

Stock Code
498050
Last Traded Price
13,320 KRW
Previous Day Change (KRW)
-70.0
NAV
13,320.46 KRW
Previous Day Change (KRW)
-46.7
Creation Unit
50,000 shares
Assets Under Management
119.88 bn(KRW)

Base date : 2025.10.30

Product Information

Assets Under
Management
119.88 bn(KRW)
Minimum
Trading Unit
1 share
Listing Date
2024.11.26
Creation Unit
50,000 share
Underlying Index

iSelect K-바이오헬스케어 지수

Cumulative Returns

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Setting the Period
~
Type
#00B140 ETF
#78BE21 Underlying Index

Base date : 2025.10.30 / Unit : %

Cumulative Returns Table : Category(ETF, Underlying Index, Excess Return), 1M, 3M, 6M, 1Y, 3Y, 5Y, Since Inception
Category 1M 3M 6M 1Y 3Y 5Y Since Inception
ETF 3.14 9.67 21.90 - - - 35.02
Underlying Index 5.02 4.01 19.42 - - - 24.54
Excess Return -1.88 5.65 2.47 - - - 10.48

Underlying Index : iSelect K-바이오헬스케어 지수

Rate of Return

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~
Rate of Return Table : Date, Market Price(Last Traded Price(KRW), Change from Previous Day(%)), Net Asset Value (NAV)(Last Traded Price(KRW), Change from Previous Day(%), Standard Price for Taxation(KRW))
Date Market Price Net Asset Value (NAV)
Last Traded
Price(KRW)
Change from
Previous Day(%)
Last Traded
Price(KRW)
Change from
Previous Day(%)
Standard Price for
TaxationV(KRW)
2025.10.30 13,320.00 -0.52 13,320.46 -0.35 9,828.97
2025.10.29 13,390.00 -1.54 13,367.16 -1.83 9,829.16
2025.10.28 13,600.00 +0.04 13,616.09 +0.31 9,829.34
2025.10.27 13,595.00 +6.79 13,573.89 +6.62 9,829.53
2025.10.26 12,730.00 0.00 12,730.56 0.00 9,829.72
2025.10.25 12,730.00 0.00 12,730.74 0.00 9,829.90
2025.10.24 12,730.00 -0.27 12,730.92 -0.08 9,830.08
2025.10.23 12,765.00 -1.16 12,740.69 -1.16 9,830.26
2025.10.22 12,915.00 +0.82 12,890.48 +0.55 9,830.44
2025.10.21 12,810.00 -0.62 12,820.15 -0.74 9,830.62
2025.10.20 12,890.00 +2.22 12,915.17 +2.30 9,830.80
2025.10.19 12,610.00 0.00 12,624.44 0.00 9,830.98
2025.10.18 12,610.00 0.00 12,624.62 0.00 9,831.16
2025.10.17 12,610.00 -0.47 12,624.79 -0.49 9,831.33
2025.10.16 12,670.00 -0.94 12,686.77 -1.18 9,831.51
2025.10.15 12,790.00 +0.51 12,838.82 +0.63 9,831.69
2025.10.14 12,725.00 -0.78 12,758.13 -0.71 9,831.87
2025.10.13 12,825.00 -1.27 12,849.07 -1.22 9,832.05
2025.10.12 12,990.00 0.00 13,007.68 0.00 9,832.23
2025.10.11 12,990.00 0.00 13,007.86 0.00 9,832.41
2025.10.10 12,990.00 -0.73 13,008.04 -0.57 9,832.59
2025.10.09 13,085.00 0.00 13,082.46 0.00 9,832.78
2025.10.08 13,085.00 0.00 13,082.64 0.00 9,832.96
2025.10.07 13,085.00 0.00 13,082.83 0.00 9,833.14
2025.10.06 13,085.00 0.00 13,083.01 0.00 9,833.33
2025.10.05 13,085.00 0.00 13,083.19 0.00 9,833.51
2025.10.04 13,085.00 0.00 13,083.38 0.00 9,833.70
2025.10.03 13,085.00 0.00 13,083.56 0.00 9,833.88
2025.10.02 13,085.00 +1.00 13,083.75 +0.87 9,834.06
2025.10.01 12,955.00 +0.39 12,971.49 +0.44 9,834.25
2025.09.30 12,905.00 -0.42 12,915.19 -0.50 9,834.43

Investment Considerations

  • Collective investment products are not protected by the Deposit Insurance Corporation under the Depositor Protection Act.
  • Any gains or losses from the performance of the investment are the responsibility of the investor.
  • Before subscribing to a fund, investors must read the fund prospectus, investment guidelines, or simplified prospectus.
  • Past performance does not guarantee future results.
  • Taxes are subject to change depending on future amendments to tax-related laws.
  • The information provided above is based on reliable sources, but its accuracy and completeness can not be guaranteed.