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310210

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1d
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1m

Analysis and statistics

  • Open
    113434.8143$
  • Previous Close
    107594.8139$
  • 52 Week Change
    90000.00$
  • Day Range
    5840.00$
  • 52 Week High/Low
    63000$ - 153000$
  • Dividend Per Share
    --
  • Market cap
    0$
  • EPS
    -582.7836
  • Beta
    --
  • Volume
    --

About

310210.KO is the financial product symbol for TIGER Fn 반도체 ETF, a Korean Exchange Traded Fund (ETF). This ETF aims to track the performance of a portfolio of stocks related to the semiconductor industry listed on the Korean stock market. Investors can trade shares of this ETF on the Korea Exchange (KRX) like any other publicly traded stock.

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Factors

Company Performance: Lotte Chemical Titan Holding Berhad's financial health, including revenue, profit margins, and debt levels, significantly impacts its stock price. Strong earnings reports typically drive the price up.

Industry Trends: The performance of the petrochemical industry, influenced by global demand for plastics and chemicals, affects investor sentiment and, consequently, the stock price of 310210.KO.

Economic Conditions: Macroeconomic factors such as GDP growth, inflation rates, and interest rates in Malaysia and globally can influence investment decisions and impact the stock's valuation.

Investor Sentiment: Overall market sentiment towards Malaysian stocks and the petrochemical sector plays a crucial role. Positive sentiment leads to increased buying pressure and higher prices.

Competitor Performance: The performance of Lotte Chemical Titan's main competitors affects market share expectations and thereby impacts investors' outlook on 310210.KO.

Regulatory Changes: Changes in environmental regulations, trade policies, or taxation laws in Malaysia and other relevant countries can significantly impact the company's profitability and stock price.

Global Oil Prices: As a petrochemical company, Lotte Chemical Titan's profitability is closely tied to crude oil prices, a key raw material. Fluctuations in oil prices affect production costs and margins, impacting the stock.

Currency Exchange Rates: Exchange rate fluctuations, particularly between the Malaysian Ringgit and other major currencies, can impact the company's revenue and profitability from exports, affecting the stock.

Dividend Policy: The company's dividend payouts influence investor attractiveness. A higher dividend yield often makes the stock more appealing, potentially driving up the price.

Geopolitical Risks: Global political events and instability, especially those affecting key markets or supply chains, can create uncertainty and negatively affect investor confidence in 310210.KO.

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