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ݵ(Ƴ) 2021-09-30



ݵ(Ƴ)
:
2020-12-31
2021-09-30
()
ͷ

Kospi:
2,873.47
3,068.82
195.35
6.8%
21.1%
14.3%
Kosdaq:
968.42
1,003.27
34.85
3.6%
17.5%
:
2021-08-31
2021-09-30
()
ͷ

Kospi:
3,199.27
3,068.82
-130.45
-4.1%
-0.4%
3.7%
Kosdaq:
1,038.33
1,003.27
-35.06
-3.4%
3.0%

9 ֽĽ ϶ ġֵ п ݵ(Ƴ) 0.4% ϶ϸ鼭 4.1% ϶ ũ ̰ϴ. ݸ λ ׵α⸦ ȴ ֽĵ Ǹ鼭 ô ִ ġ 򰡵 ֽİ ͷ ֽĿ ġ ڿԴ ϰ ۿ߽ϴ. 3 յ ̹Ƿ ̷ ӵ ִٰ ϴ.

ֽ Ȳ (2021-09-30)


ֽ

򰡼ͷ
ó

żܰ



α
800
21,326
17,060,640
24,850
19,880,000
4.6%
16.5%

α()
1,000
19,600
19,600,000
22,900
22,900,000
5.3%
16.8%

Zī
500
33,805
16,902,530
33,800
16,900,000
3.9%
0.0%


700
12,668
8,867,603
15,500
10,850,000
2.5%
22.4%

ſ
1,400
52,700
73,780,000
63,000
88,200,000
20.3%
19.5%


3,000
11,080
33,240,910
9,940
29,820,000
6.9%
-10.3%

ȭ
200
79,659
15,931,770
88,000
17,600,000
4.0%
10.5%

Ȧ
7,000
3,203
22,422,688
3,085
21,595,000
5.0%
-3.7%

ڸȸ
2,000
7,957
15,913,190
9,560
19,120,000
4.4%
20.2%


3,000
8,990
26,970,000
10,200
30,600,000
7.0%
13.5%

ڿ
3,500
12,083
42,290,350
11,250
39,375,000
9.0%
-6.9%

߰
0
#DIV/0!
0
60,000
0
0.0%
#DIV/0!
405,828
KPXȦ
200
68,110
13,622,040
66,600
13,320,000
3.1%
-2.2%

(R/P)


105,046,436

105,046,436
24.1%
0.0%
26,227



411,648,157

435,206,436
100.0%
5.7%
432,055
:
359,479,380
򰡼ͷ:
21.07%
ֽ:
75.9%
򰡼ͱ:
75,727,056
:
24.1%









CMA
26,227
1
26,227
0
26,227
26,227
105,046,436
(R/P)
Zī
500
33,800
16,900,000
2,530
16,902,530
-16,902,530
105,020,209
ż
߰
8
111,000
888,000
2,172
885,828
885,828
121,922,739
ŵ
߰
8
60,000
480,000
0
480,000
-480,000
121,036,911


ŵ
- 

ż
- ű ż:
Zī: ѵ ֿ ָ ߰ żϴ ͺٴ īᰡ 絵 ǥδ ô ŷ żϰ Ǿµ. 6 µ, ϴ.

50% ڴٴ å ô ϴ.
2020 , 9 , ڻ 7.9% ؼ , ǥ ϴ.
- PER: 9.04 / PBR: 0.51 / PDR: 5.3%

û
- ߰
޿ ԵŻ û з ս ޿ û߰ Ǹϰ ߽ϴ. û ޳ ְ Ǵ ̰ ݴ ٸ Ǵµ. IPO ְ ֽϴ.

3б
1. ϴ ݵ ͷ ǥԴϴ.
2. ݵ( 00 )ϴ ϴ ° 10 ̻Դϴ. 2017 ҵհ ӹ 3 ̻ ǽϸ鼭 Ʈ ̸ ξϴ. ̷ ͷ ̰ ֽϴ.
3. ݵ(ģ) 8 û ŭ ڼͷ ߱ մϴ. 10 ϴ ݵ() ڼͷ ϵ ǥô 2022 Ϸ մϴ.

ݵ庰 ͷ

2020-12
2021-03
2021-06
2021-09
Kospi
2,873.47
3,061.42
3,296.68
3,068.82
-
30.8%
6.5%
14.7%
6.8%
Kosdaq
968.42
956.17
1,029.96
1,003.27
-
44.6%
-1.3%
6.4%
3.6%
ݵ
2020-12
2021-03
2021-06
2021-09
Fund(1ȣ)
14.9%
6.0%
27.3%
24.6%
Fund(B)
13.3%
3.7%
21.5%
18.4%
Fund(Ƴ)
15.2%
6.1%
24.3%
21.1%
Fund(1)
22.2%
5.4%
25.4%
21.6%
Fund(2)
21.6%
3.3%
24.2%
20.9%
Ѿ
15.1%
5.7%
25.7%
22.9%
Fund(ģ)
15.3%
6.1%
25.1%
23.7%
Fund(BB)
18.6%
6.4%
26.4%
22.8%
Fund(Ǹ)
0.6%
10.4%
35.4%
33.6%

׷̾ ȣƼ콺 ñ 츮 ڻӸ ƴ϶  ־ Ҹ Ϸ־ϴ.

ȸϴ ̰, Ϲ ϴ ̴.

۳⿡ ƴ αֵ ʱ ¦ õ ۳⿡ ߴ ֽĵ Ѵ ̰ ֽϴ. ġ ֽ ϰ ִٸ ׸ 忡  Ѵ ʰ ƾٸ ݵ ް ˴ϴ. װ ġϱ.


10 ϴ ݵ() ݵ(Ƴ) ڱ Ϻ ű ־µ, ʱ ߽ϴ. ̸ ǽؼ ż ʾҴµ, 10ʹ ұ̳ ֽĺ ̷ մϴ.

Ŀ ׿ 10 ̻ շϸ鼭 ȭߴ [׿ ȭ] å а ֽϴ. ο ִµ, ű 9 Ĩϴ.

. ˰ ǿܷ ϰ ̵ 㹫Ͷ ŵδ 찡 ־. ׸ ̰ ˰ Ǹ ϴ ϰ dz. ϴ ͵ ٺ ִ ͵ .

׷ 츮 ڽŵ ִ Ϳ ؼ ϴ .  Ѵٸ ϴ Ƴ Ծ. ׷ ൿ ų.



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