Back
IKO
iShares MSCI South Korea ETF
๐ฆ๐บ ASX
๐ค TECHNOLOGY
โณ๏ธ DIVERSIFIED
KOREA
๐ Overview
๐ Performance
๐ Holdings
๐ฐ Distributions
๐ต Cost
๐ค Advanced
๐จโ๐ฉโ๐งโ๐ฆ Community
๐
+ 4.59%
Annual Growth
5 years average annual capital growth
๐ฐ
2.57%
Annual distribution yield
Based on the most recent distribution
๐ต
$ 500
Minimum Order
Due to regulatory requirements
๐
12
Pearlers Invested
Since January 2020
๐ Overview
Key information
๐ Fund Overview
IKO.AX was created on 2000-05-09 by iShares. The fund's investment portfolio concentrates primarily on total market equity. The fund aims to provide investors with the performance of the MSCI Korea 25/50 Index, before fees and expenses. The index is designed to measure the performance of Korean large-, mid- & small- capitalisation companies
๐ Performance
Price History
+44.18%
1M
1Y
10Y
Graph
Table
How could long term investing grow your wealth?*
Based on an initial investment of
$
and recurring investments every
for
$
Your wealth could grow to...
$69,184.11
after 5 years
$154,288.13
after 10 years
*Disclaimer: The information provided in this calculator is only a model to show you how long you need to invest for to achieve your goal, based on several factors, including past performance which is not an indicator of future performance. It is not a prediction and relies on assumptions, such as interest rates, that may vary and change the actual outcome. The results shown are only estimates and are not intended to be relied on when making a financial decision. Consider whether to get advice from a licensed financial adviser before making any financial decision.
Unsure how much or often to invest?
๐๏ธ Investing frequency calculator
Determine the investment frequency needed to reach your goals
Try it out โ๐ต Investing amount calculator
Determine the recurring investment needed to reach your goals
Try it out โโฑ๏ธ Investing duration calculator
Determine how long you will need to invest to reach your goals
Try it out โ๐ Top Holdings
Show moreSAMSUNG ELECTRONICS LTD
22.24%
SK HYNIX INC
9.83%
KB FINANCIAL GROUP INC
2.80%
NAVER CORP
2.76%
CELLTRION INC
2.57%
HYUNDAI MOTOR
2.55%
KIA CORPORATION CORP
2.08%
HANWHA AEROSPACE LTD
2.07%
SAMSUNG BIOLOGICS LTD
1.97%
SHINHAN FINANCIAL GROUP LTD
1.86%
Updated as of 25 February 2025
Industry Exposure
๐ค Information
36%
๐ญ Industrials
18%
๐ฆ Financials
13%
๐ฉบ Health
8%
๐๏ธ Consumer
8%
๐ Communication
6%
๐ Other
5%
๐งฑ Materials
4%
๐ Energy
1%
โก๏ธ Utilities
1%
Country Exposure
๐ฐ๐ท Korea
100%
๐ฐ Distributions
Payouts
๐ฐ Annual Distribution Yield*
2.57%
๐ฐ Annual Distribution Earnings Per $1,000 invested**
$25.67
๐ฐ Most Recent Distribution Franked Percentage Estimate
0.00%
๐ฐ Average Distribution Franked Percentage Estimate
0.00 %
๐ฐ Distribution reinvestment
* Based on the most recent distribution
** Calculated by multiplying the most recent distribution yield by $1,000
Estimate your distribution
If you held
$
of IKO, your last distribution payment(s) would have been:
$ 249.29
on Thu Jul 11 2024
$ 71.98
on Thu Jul 13 2023
*Disclaimer: The information provided in this calculator is only a model to show you how long you need to invest for to achieve your goal, based on several factors, including past performance which is not an indicator of future performance. It is not a prediction and relies on assumptions, such as interest rates, that may vary and change the actual outcome. The results shown are only estimates and are not intended to be relied on when making a financial decision. Consider whether to get advice from a licensed financial adviser before making any financial decision.
Distribution History
1Y
5Y
10Y
Graph
Table
Year
Yearly Distribution Earnings Per Share
Franking Estimate
2025
$0.00
0.00%
2024
$0.00
0.00%
2023
$0.70
NaN%
2022
$1.04
NaN%
2021
$0.62
NaN%
2020
$1.35
NaN%
2019
$0.84
NaN%
2018
$2.33
NaN%
2017
$0.72
NaN%
2016
$1.49
0.00%
๐ต Costs
๐ผ
0.59%
Management Fee
Included in unit price, not charged by Pearler
๐ธ
Want to know the long term costs?
Calculate the historic long term costs to hold your investments
๐ธ Net fee calculator๐ค Advanced information
Technical Info
๐ฐ Price*
$105.50
๐ฐ Price To Earnings Ratio
0.00
๐ฐ Price To Book Ratio
0.00
๐ฐ Leveraged
No
๐ฐ Inverse
No
*Price may be up to 24 hours old
๐ฉโ๐ฉโ๐ฆ Community Insights
How our community is investing
๐ Pearlers invested in IKO
12
๐ Total Capital Earnings
$3K
๐ Average investment frequency
31 weeks
๐ต Average investment amount
$1,702
โฐ Last time a customer invested in IKO
37 days
IKO investor breakdown
๐ต Income of investors
More than 200k
150k - 200k
100k - 150k
25%
50k - 100k
Less than 50k
67%
๐ถ Age of investors
18 - 25
26 - 34
33%
35 - 90
58%
๐ Legal gender of investors
Female
58%
Male
42%
Pearlers who invest in IKO also invest in...
VAS.AX was created on 2009-05-04 by Vanguard. The fund's investment portfolio concentrates primarily on total market equity. Vanguard Australian Shares Index ETF seeks to track the return of the S&P/ASX 300 Index before taking into account fees, expenses and tax.
๐ Performance (5Yr p.a)
7.73%
๐ Share price
$105.83 AUD
๐ฆ๐บ AUSTRALIA
๐งฑ MATERIALS
๐ธ FINANCIALS
โณ๏ธ DIVERSIFIED
IVV.AX was created on 2007-10-10 by iShares. The fund's investment portfolio concentrates primarily on large cap equity. The Fund aims to provide investors with the performance of an index, before fees and expenses. The index is designed to measure the performance of large capitalisation US equities.
๐ Performance (5Yr p.a)
20.76%
๐ Share price
$61.19 AUD
๐ HIGH PRICE GROWTH
๐ฐ HIGH DIVIDEND
๐บ๐ธ UNITED STATES
VDHG.AX was created on 2017-11-20 by Vanguard. The fund's investment portfolio concentrates primarily on target outcome asset allocation. Vanguard Diversified High Growth Index ETF seeks to track the weighted average return of the various indices of the underlying funds in which it invests, in proportion to the Strategic Asset Allocation, before taking into account fees, expenses and tax.
๐ Performance (5Yr p.a)
6.11%
๐ Share price
$69.51 AUD
โณ๏ธ DIVERSIFIED
๐ GLOBAL
NDQ.AX was created on 2015-05-26 by BetaShares. The fund's investment portfolio concentrates primarily on large cap equity. The fund aims to track the performance of the NASDAQ-100 Index (before fees and expenses). The NASDAQ-100 comprises 100 of the largest non-financial companies listed on the NASDAQ market, and includes many companies that are at the forefront of the new economy.
๐ Performance (5Yr p.a)
22.07%
๐ Share price
$49.49 AUD
๐ HIGH PRICE GROWTH
๐ค TECHNOLOGY
๐บ๐ธ UNITED STATES
ACDC.AX was created on 2018-08-30 by Global X. The fund's investment portfolio concentrates primarily on theme equity. The Fund aims to provide investors with a return that (before fees and expenses) tracks the performance of the Solactive Battery ValueโChain Index (the โIndexโ).
๐ Performance (5Yr p.a)
11.29%
๐ Share price
$86.06 AUD
๐ GLOBAL
๐๏ธ CONSUMER
๐ญ INDUSTRIALS
๐ HIGH PRICE GROWTH
Want more shares? Try these...