— · 2026-10-10 · 目录取得日不等于上市日期或交易日
https://finance.naver.com/api/sise/etfItemList.nhn ↗SHA256 d1ee7d8b4d852b74a4215e8b9c622180aceb4d3dc09e6b43bf4c94b695b7f7dd
韓国 / 276990.KS / Robotics
This KODEX Robo ETF-SYNTH aims to replicate the overall financial performance, encompassing both capital appreciation and income, of the ROBO Global Robotics & Automation UCITS Price Return Index. It seeks to achieve these investment outcomes before accounting for its operational expenses. As a synthetic fund, it achieves its objective through the use of a Total Return Swap (TRS) provided by a financial institution. [F1]
Benchmark / strategy: This KODEX Robo ETF-SYNTH aims to replicate the overall financial performance, encompassing both capital appreciation and income, of the ROBO Global Robotics & Automation UCITS Price Return Index. It seeks to achieve these investment outcomes before accounting for its operational expenses. As a synthetic fund, it achieves its objective through the use of a Total Return Swap (TRS) provided by a financial institution.
毎週月曜10:00(北京時間)にデータと主要市場の関連ETF一覧を更新。米国、香港、中国本土、欧州、日本、韓国、カナダ、豪州、台湾、インド、シンガポールの確認範囲と制限を表示し、各項目の報告日を保持します。
Last completed refresh: 2026-10-11 00:52 UTC+8 · Last complete list scan: Not yet recorded
Last fully successful refresh: Not yet recorded · Next scheduled refresh: 2026-10-12 10:00 UTC+8 · Initial verified snapshot: 2026-10-10
Some fields remain on their last valid dated observations
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Naver转引基金总费用,年百分比;生效日期未提供
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未取得
| Field | Value | Report date / period | Basis / evidence |
|---|---|---|---|
| 上場市場 | 韓国 | — | 上場市場、所在地、投資地域は異なります。取引通貨と資産通貨も区別します。 [D1] |
| Issuer | 삼성자산운용(ETF) | — | [F1] |
| Benchmark / strategy | This KODEX Robo ETF-SYNTH aims to replicate the overall financial performance, encompassing both capital appreciation and income, of the ROBO Global Robotics & Automation UCITS Price Return Index. It seeks to achieve these investment outcomes before accounting for its operational expenses. As a synthetic fund, it achieves its objective through the use of a Total Return Swap (TRS) provided by a financial institution. | — | [F1] |
| Inception / listing | 2017-08-17 | 2017-08-17 | |
| isin | KR7276990009 | — | |
| domicile | KR | — | |
| assetClass | Equity | — | |
| secondary_code | 276990 | — |
| Field | Value | Report date / period | Basis / evidence |
|---|---|---|---|
| Fund assets · 100m | — — | — | 未取得带币种及资产报告日的规模 |
| FMP raw assets (currency not separately supplied) | 44,500,000,000.00 | — | Provider updatedAt is not the asset report date. NAV currency is not assumed to be AUM currency. updatedAt 2026-10-10T16:17:30.037Z [F1-20261010162834998] |
Holdings rows are unavailable. Zero acquired rows do not mean the fund owns nothing.
Verified portfolio valuation is unavailable. No PE or percentile is fabricated.
Dated returns with a clear basis are unavailable. No history is fabricated.
Facts, calculations and analysis are distinguished. Theme labels do not imply pure AI revenue; industry growth does not determine fund returns.
FMP MCP first. Currency/date gaps and restricted fields use explicitly recorded supplementary sources. Retained values keep their original report dates.
complete · 2026-10-11 00:28 UTC+8
[]
— · 2026-10-10 · 目录取得日不等于上市日期或交易日
https://finance.naver.com/api/sise/etfItemList.nhn ↗SHA256 d1ee7d8b4d852b74a4215e8b9c622180aceb4d3dc09e6b43bf4c94b695b7f7dd
— · 2026-10-10 · 通过信息字段核对基金注册地、活动状态、资产类型与ISIN
https://financialmodelingprep.com/mcp ↗— · 2026-10-10 ·
https://financialmodelingprep.com/mcp ↗— · 2026-10-10 ·
https://m.stock.naver.com/api/stock/276990/integration ↗SHA256 475ab75455e59439fbd86c21efd6098518a97e0822881778249e2c247420aa66
— · 2026-10-10 · KRX目录请求HTTP 403,使用Naver ETF全表;身份再核对,未提供日期的规模不采用
https://finance.naver.com/api/sise/etfItemList.nhn ↗SHA256 d1ee7d8b4d852b74a4215e8b9c622180aceb4d3dc09e6b43bf4c94b695b7f7dd
— · 2026-10-10 ·
https://financialmodelingprep.com/mcp ↗— · 2026-10-10 ·
https://m.stock.naver.com/api/stock/276990/integration ↗SHA256 475ab75455e59439fbd86c21efd6098518a97e0822881778249e2c247420aa66
| Field | Value | Report date / period | Basis / evidence |
|---|---|---|---|
| fee | 0.3 | — | Naver转引基金总费用,年百分比;生效日期未提供 [I1-20261010162834998] |
| summary | 投资全球机器人相关企业,具体成分及范围以披露指数 / 策略为准。 | — | 目录主题及FMP策略资料概括,非每期持仓承诺 [F1] |
| fmp_aum | 44500000000 | — | FMP原始金额,资产币种及报告日未单列,不使用navCurrency替代 [F1-20261010162834998] |
| fmp_expense_ratio | 0.3 | — | FMP原始expenseRatio,净 / 总费用及生效日期未提供 [F1-20261010162834998] |
| holdings_count | 0 | — | FMP供应商数量,报告日未提供 [F1-20261010162834998] |