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006880

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1d
1w
1m

Analysis and statistics

  • Open
    7148.4892$
  • Previous Close
    7070.0899$
  • 52 Week Change
    3156.73$
  • Day Range
    78.40$
  • 52 Week High/Low
    5843.2736$ - 9000$
  • Dividend Per Share
    0.0169
  • Market cap
    76 283 M$
  • EPS
    -148.0856
  • Beta
    -0.428
  • Volume
    --

About

The financial product with the symbol 006880.KO represents Mirae Asset TIGER 200 IT ETF, an exchange-traded fund (ETF) listed on the Korea Exchange (KO). This ETF aims to track the performance of the KOSPI 200 Information Technology Index, investing in a basket of South Korean IT companies that are constituents of this index. Investors seeking exposure to the South Korean technology sector often use this ETF as a convenient and relatively low-cost investment vehicle.
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Factors

Samsung Electronics' Performance: As 006880.KO represents Samsung Electronics, the company's financial health, including revenue, profit margins, and market share, directly impacts the stock price.

Global Economic Conditions: Broader economic trends, such as GDP growth, inflation, and interest rates, can influence investor sentiment and overall market performance, indirectly affecting the stock.

Semiconductor Industry Trends: Changes in the semiconductor industry, including demand for memory chips, foundry services, and advancements in technology, play a vital role.

Technological Innovation: Samsung's success in developing and launching innovative products and technologies, especially in smartphones, displays, and semiconductors, greatly influences investor perception.

Competitive Landscape: The actions of competitors like Apple, TSMC, and SK Hynix, including product launches, pricing strategies, and technological advancements, affect Samsung's market position.

Government Regulations and Policies: Changes in government regulations related to trade, taxation, and technology, both domestically and internationally, can significantly impact Samsung's operations.

Investor Sentiment: Overall market sentiment and investor confidence towards the technology sector and South Korean equities can lead to price fluctuations.

Dividend Policy: Samsung's dividend policy and the attractiveness of its dividend yield can influence investor demand for the stock.

Geopolitical Events: Global geopolitical events, such as trade wars, political instability, and international conflicts, can create uncertainty and impact stock prices.

Supply Chain Disruptions: Disruptions to the global supply chain, particularly in the semiconductor industry, can impact production and profitability.

Currency Exchange Rates: Fluctuations in the Korean Won (KRW) exchange rate can affect Samsung's earnings, especially for its international operations.

ESG Factors: Growing investor interest in Environmental, Social, and Governance (ESG) factors can influence investment decisions and affect the stock price if Samsung's ESG performance is perceived as strong or weak.

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