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iShares MSCI South Korea ETF EWY

South Korea · iShares · PCX · USD
$171.64
-5.34 (-3.02%) day
Day 165.75 — 176.15
Vol 28,208,671 · avg 24,626,310
+105.80% YTD
📊 Investment Snapshot Moderate
52-Week Range 67% of range — Mid-range
$70.36 $220.89
Performance Returns
1M -13.1%
3M +17.0%
6M +57.6%
YTD +67.9%
3Y +173.2%
5Y +114.7%
Fund Quality
  • Expense Ratio (TER) 0.59% · Fair — moderate costs
  • AUM (Fund Size) 24.47B · Large — good liquidity & low tracking error
  • Distribution Yield 1.01% · Regular distributions
  • Diversification 10 holdings · Top-10 = 66.1% — concentrated, higher single-stock risk
  • Long-Term Track Record 3Y avg +41.5%/yr · 5Y avg +16.6%/yr
Risk Assessment
  • Annual Volatility 51.6% · Very High
  • Worst 1-Year Drawdown -23.3% · Significant — prepare for deep dips
  • Risk-Adjusted Return Sharpe 1.97 · Excellent

Auto-generated from fund data and price history. Not investment advice — verify with the fund issuer's factsheet before investing.

About This Fund

The fund generally will invest at least 80% of its assets in the component securities of its underlying index and in investments that have economic characteristics that are substantially identical to the component securities of its underlying index. The index is a free float-adjusted market capitalization-weighted index that is designed to measure the performance of the large- and mid-capitalization segments of the equity market in Korea. The fund is non-diversified.

Investment Strategy & Highlights

Curated from issuer disclosures, fund factsheets, and public market data. Figures are illustrative and not investment advice.

Key Facts

Expense Ratio
0.59%
Total Assets (AUM)
24.47 B
NAV
173.32
Yield
1.01%
52W High / Low
220.89 / 70.36
3Y Avg Return
41.48%
5Y Avg Return
16.59%
Category
Focused Region

Performance Returns

1M
-13.07%
3M
+17.02%
6M
+57.57%
YTD
+67.91%
3Y
+173.20%
5Y
+114.74%

Total price return over each window. 3Y/5Y use weekly close history; shorter windows use daily closes.

Risk & Volatility

Volatility (ann.)
51.6%
Max Drawdown (1Y)
-23.3%
Sharpe-like
1.97
Beta
2.40

Volatility = stdev of daily returns × √252. Sharpe-like = annualized mean / annualized vol (rf = 0%). Educational estimates from 1-year price history.

Technical Trend

SMA 20
192.24
SMA 50
190.99
SMA 200
131.79
RSI (14)
36.5

Signal: Mildly bullish (50/200 in uptrend)

Computed from daily close history. SMA-50 above SMA-200 is the classic “golden cross” trend regime. RSI > 70 overbought · RSI < 30 oversold.

PROS

  • Large AUM (~$24.5B) — deep liquidity and tight spreads.
  • Attractive risk-adjusted return (Sharpe~1.97).

CONS

  • High volatility (~52% annualized) — significant drawdown risk.

* The pros and cons are auto-generated from fund metrics.

Price Chart

Robinhood TradingView

🔄 Similar Funds to Compare

This fund is in the Focused Region category. Compare with other funds in the same category on the Funds & ETFs page to find the best fit for your strategy.

💡 Pro Tips
  • Compare expense ratios — lower TER saves money
  • Check 1Y/3Y/5Y returns — consistency matters
  • Review AUM — larger funds have better liquidity
  • Look at holdings overlap — avoid duplication
✓ This Fund
Expense Ratio: 0.59%
Category: Focused Region
Manager: iShares
YTD Return: +105.80%

Top Holdings (10)

#Symbol / CUSIPNameWeight %
1 000660.KS SK Hynix Inc +27.17%
2 005930.KS Samsung Electronics Co Ltd +23.19%
3 402340.KS SK Square +4.26%
4 009150.KS Samsung Electro-Mechanics Co Ltd +3.62%
5 005380.KS Hyundai Motor Co +1.74%
6 105560.KS KB Financial Group Inc +1.58%
7 028260.KS Samsung C&T Corp +1.19%
8 055550.KS Shinhan Financial Group Co Ltd +1.19%
9 034020.KS Doosan Enerbility Co Ltd +1.11%
10 032830.KS Samsung Life Insurance Co Ltd +1.06%

Top holdings as reported by the fund issuer; full list of constituents may not be available.

Sector Allocation

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