
[중국증시 주간 포인트] 미·중 관세조치 발효, 3월 CPI∙PPI∙3대 금융지표, 1Q 실적발표 시즌
무료
순위 | 종목 | 보관금액 | ||
---|---|---|---|---|
1 – | 테슬라 | 17,064,467,431 | ||
2 – | 엔비디아 | 10,014,416,842 | ||
3 – | 애플 | 3,644,344,068 | ||
4 – | Palantir Technologies | 3,135,289,074 | ||
5 – | 마이크로소프트 | 2,824,638,414 | ||
6 – | PROSHARES ULTRAPRO QQQ ETF | 2,252,933,430 | ||
7 – | INVESCO QQQ TRUST SRS 1 ETF | 2,220,737,925 | ||
8 – | 알파벳 | 2,130,148,361 | ||
9 ▲ 2 | IONQ INC | 1,947,612,143 | ||
10 – | DIREXION DAILY TSLA BULL 2X SHARES | 1,766,842,973 | ||
11 ▲ 1 | Vanguard 500 Index Fund | 1,752,611,330 | ||
12 ▲ 1 | Schwab Strategic | 1,742,321,003 | ||
13 ▼ 4 | DIREXION DAILY SEMICONDUCTORS BULL 3X SHS ETF | 1,727,592,218 | ||
14 – | SPDR S&P 500 ETF Trust | 1,648,489,293 | ||
15 – | 아마존 | 1,506,635,446 | ||
16 – | BROADCOM INC EXOF 005644980 SG9999014823 | 1,391,410,096 | ||
17 – | Microstrategy | 1,127,448,111 | ||
18 – | 페이스북 | 869,852,577 | ||
19 – | DIREXION DAILY 20 YEAR PLUS DRX DLY 20+ YR TREAS BULL 3X SPLR 953438320 US25459W5408 | 783,925,296 | ||
20 ▲ 2 | 리얼티인컴 | 661,757,999 | ||
21 – | iShares Barclays 20+ Yr Treas.Bond (ETF) | 652,328,351 | ||
22 ▼ 2 | ProShares Ultra QQQ (ETF) | 620,202,275 | ||
23 ▲ 2 | ISHARES 0-3 MONTH TREASURY BOND ETF | 568,178,148 | ||
24 – | TSMC 台積電 | 564,442,138 | ||
25 ▼ 2 | GRANITESHARES 2.0X LONG NVDA DAILY ETF | 535,403,466 | ||
26 – | BERKSHIRE HATHAWAY INC CL B | 532,866,289 | ||
27 – | JP MORGAN EQUITY PREMIUM INCOME ETF | 474,182,600 | ||
28 – | INVESCO NASDAQ 100 ETF | 439,737,454 | ||
29 – | Berkshire Hathaway | 419,508,000 | ||
30 – | Alphabet | 398,335,982 | ||
31 – | COUPANG INC | 391,305,201 | ||
32 – | J.P. MORGAN NASDAQ EQUITY PREMIUM INCOME ETF | 390,062,572 | ||
33 ▲ 1 | iShares S&P 500 Index (ETF) | 371,080,885 | ||
34 ▼ 1 | 2X BITCOIN STRATEGY ETF | 362,497,263 | ||
35 ▲ 1 | SPDR PORTFOLIO SP 500 ETF | 346,112,579 | ||
36 ▲ 3 | RIGETTI COMPUTING INC MRGR 008989411 KYG8T86C1136 | 342,709,717 | ||
37 ▼ 2 | NUSCALE POWER CORP CL A MRGR 009185329 KYG8377A1085 | 340,733,443 | ||
38 ▼ 1 | JOBY AVIATION INC EXOF 008448244 KYG7483N1117 | 340,490,875 | ||
39 ▼ 1 | AMD | 323,243,477 | ||
40 – | Asml | 318,761,466 | ||
41 ▲ 1 | 코카콜라 | 308,386,161 | ||
42 ▲ 2 | Eli Lilly | 289,907,468 | ||
43 ▲ 6 | SPDR Gold Trust (ETF) | 286,520,249 | ||
44 ▼ 3 | 해즈브로 | 284,706,735 | ||
45 ▼ 2 | GRAB HOLDINGS LTD CL A MRGR 008779401 KYG0370L1243 | 282,010,704 | ||
46 ▲ 2 | 코스트코 홀세일 | 279,842,762 | ||
47 ▼ 1 | PROSHARES ULTRA BITCOIN ETF | 266,074,303 | ||
48 ▼ 1 | 인텔 | 264,519,682 | ||
49 ▼ 4 | ISHARES SEMICONDUCTOR ETF | 264,483,668 | ||
50 – | TD YILDMX CN ETF | 255,348,517 | ||
더보기 |
순위 | 종목 | 보관금액 | ||
---|---|---|---|---|
1 – | 비야디 | 132,527,408 | ||
2 – | 항서제약 | 123,189,582 | ||
3 – | 귀주모태 | 59,118,018 | ||
4 – | 중국중면 | 36,147,009 | ||
5 – | 중국평안 | 33,262,943 | ||
6 – | 웨이얼반도체 | 31,474,350 | ||
7 – | 북방화창 | 22,051,777 | ||
8 – | 닝더스다이 | 18,856,231 | ||
9 – | 해천미업 | 16,107,348 | ||
10 – | 메이디그룹 | 16,065,716 | ||
11 – | 자금광업 | 14,696,448 | ||
12 – | 오량액 | 13,981,767 | ||
13 – | 융기실리콘 | 9,494,677 | ||
14 – | 이리구펀 | 8,267,196 | ||
15 ▲ 1 | 하이얼 | 8,219,898 | ||
16 ▼ 1 | 중신증권 | 8,155,945 | ||
17 ▲ 1 | 신비정보 | 7,944,354 | ||
18 ▼ 1 | 상하이자동차 | 7,926,225 | ||
19 – | 강봉리튬 | 7,170,394 | ||
20 – | 상하이공항 | 6,860,756 | ||
21 – | 약명강덕신약개발 | 5,819,501 | ||
22 – | 바오스틸 | 5,591,082 | ||
23 – | 하이크비전 | 5,457,727 | ||
24 – | 입신정밀 | 5,083,583 | ||
25 – | 선난써키트 | 4,490,969 | ||
26 – | 중흥통신 | 4,077,725 | ||
27 ▲ 1 | FOXCONN INDUSTRIAL INTERNET | 4,060,792 | ||
28 ▼ 1 | 공상은행 | 3,738,861 | ||
29 – | 조역창신 | 3,659,400 | ||
30 – | 탁보그룹 | 3,489,466 | ||
31 ▲ 1 | BOE테크놀로지 | 3,371,041 | ||
32 ▼ 1 | 국전남서과기 | 3,257,472 | ||
33 – | 광신과기 | 3,251,302 | ||
34 – | 복성제약 | 3,159,524 | ||
35 – | SUGON | 3,074,803 | ||
36 – | 창신신소재 | 3,028,371 | ||
37 – | 거린메이 | 2,973,309 | ||
38 – | 화태증권 | 2,964,295 | ||
39 ▲ 1 | 천제리튬 | 2,812,303 | ||
40 ▼ 1 | 프로야화장품 | 2,807,324 | ||
41 – | 삼일중공 | 2,468,346 | ||
42 – | 금풍과기 | 2,399,812 | ||
43 – | 천사첨단신소재 | 2,327,355 | ||
44 – | 낭조정보 | 2,284,018 | ||
45 – | 초상은행 | 2,227,770 | ||
46 – | 항생전자 | 1,970,541 | ||
47 – | JCET | 1,937,880 | ||
48 – | 상하이자화 | 1,874,330 | ||
49 – | 목원식품 | 1,803,439 | ||
50 NEW | 정주우통버스 | 1,757,157 | ||
더보기 |
순위 | 종목 | 보관금액 | ||
---|---|---|---|---|
1 – | 비야디 | 284,925,173 | ||
2 – | 텐센트 홀딩스 | 191,623,811 | ||
3 – | 샤오미 | 170,776,231 | ||
4 – | ESR | 149,062,531 | ||
5 – | 알리바바(홍콩) | 144,405,069 | ||
6 – | SMIC | 81,447,821 | ||
7 – | 중국손해보험 | 41,750,573 | ||
8 – | 강봉리튬 | 41,116,099 | ||
9 ▲ 2 | TIANQI LITHIUM | 38,765,019 | ||
10 ▼ 1 | 메이퇀 | 38,378,534 | ||
11 ▼ 1 | CTG DUTY-FREE | 37,905,599 | ||
12 – | 바이지-B | 32,374,558 | ||
13 – | GLOBAL X CHINA ELECTRIC VEHICLE AND BATTERY ETF (USD) | 32,315,837 | ||
14 – | GLOBAL X US Treasury 3-5 Year ETF | 30,783,266 | ||
15 – | A GX USD MM | 25,557,158 | ||
16 ▲ 1 | POP MART | 25,139,963 | ||
17 ▼ 1 | 지리자동차 | 23,848,340 | ||
18 – | GLOBAL NEW MAT | 20,975,495 | ||
19 – | YESASIA HLDGS | 19,757,632 | ||
20 – | GLOBAL X CHINA ELECTRIC VEHICLE AND BATTERY ETF (HKD) | 19,116,540 | ||
21 ▲ 2 | PREMIA FTSE TWSE TAIWAN 50 ETF | 17,220,000 | ||
22 ▼ 1 | 제이디닷컴 | 16,924,886 | ||
23 ▲ 1 | SAMSUNG BLOCKCHAIN TECHNOLOGIES ETF | 16,916,259 | ||
24 ▼ 2 | 차이나모바일 | 16,214,973 | ||
25 – | BAIDU-SW | 15,873,233 | ||
26 – | XPENG | 13,651,652 | ||
27 – | GLOBAL X CHINA CONSUMER BRAND ETF (USD) | 12,554,719 | ||
28 – | 중국평안 | 12,334,972 | ||
29 ▲ 3 | CHINAAMC CSI 300 INDEX ETF HKD | 11,472,896 | ||
30 ▲ 1 | Ubtech Robotics Ord Shs H | 11,402,007 | ||
31 ▼ 2 | CSOP HANG SENG TECH INDEX ETF (HKD) | 11,328,336 | ||
32 ▼ 2 | PING AN SECURITIE HKD0.01 HKD0.01 CHAN 009837742 BMG7115B1211 | 10,854,595 | ||
33 – | 보리협흠 | 10,219,387 | ||
34 – | GLOBAL X CHINA SEMICONDUCTOR ETF (USD) | 10,025,855 | ||
35 ▲ 1 | Global X HANG SENG TECH ETF | 9,983,832 | ||
36 ▼ 1 | GLOBAL X CHINA CLOUD COMPUTING ETF (USD) | 9,978,397 | ||
37 ▲ 1 | GLOBAL X CHINA GLOBAL LEADERS ETF (HKD) | 8,632,707 | ||
38 ▼ 1 | CHINA BRIGHT CULTURE GROUP USD0.00001 (Delisted/BL398Y0) CHAN 970928502 KYG2153C1078 | 8,631,000 | ||
39 ▲ 2 | 콰이서우 | 8,262,875 | ||
40 – | 야오밍바이오 | 8,200,486 | ||
41 ▼ 2 | 건설은행 | 8,084,810 | ||
42 ▲ 1 | HAIER SMARTHOME | 7,884,584 | ||
43 ▼ 1 | GLOBAL X CHINA BIOTECH ETF (HKD) | 7,748,475 | ||
44 – | GLOBAL X CHINA CLEAN ENERGY ETF (USD) | 7,455,806 | ||
45 – | GLOBAL X CHINA BIOTECH ETF (USD) | 7,254,953 | ||
46 ▲ 1 | HORIZONROBOT-W | 7,204,025 | ||
47 ▲ 2 | DREAM INT'L | 7,058,565 | ||
48 ▼ 2 | GLOBAL X CHINA CONSUMER BRAND ETF (HKD) | 6,845,098 | ||
49 ▼ 1 | NATIONAL INVESTMENTS FUND L HKD0.10 (DELISTED/B7596Q8) CHAN 009668980 KYG6384R1487 | 6,713,697 | ||
50 – | 공상은행 | 6,496,669 | ||
더보기 |
순위 | 종목 | 보관금액 | ||
---|---|---|---|---|
1 – | ISHARES 20+ YEAR US TREASURY BOND JPY HEDGED ETF | 626,298,713 | ||
2 – | 코나미 | 451,743,609 | ||
3 – | KADOKAWA CORP | 410,372,992 | ||
4 ▲ 1 | Bandai Namco Holdings Inc | 334,285,430 | ||
5 ▼ 1 | 일본제철 | 326,326,760 | ||
6 – | GOLDWIN INC | 300,470,711 | ||
7 – | NEXON CO LTD | 243,143,226 | ||
8 – | Yahoo Japan | 205,228,167 | ||
9 – | SEGA SAMMY HOLDINGS INC | 108,421,174 | ||
10 ▲ 1 | J.E.T.CO. LTD. | 43,163,571 | ||
11 ▼ 1 | FOOD AND LIFE COMPANIES LTD | 42,885,285 | ||
12 – | ISHARES CORE 7-10 YEAR US TREASURY BOND JPY HEDGED ETF | 39,379,705 | ||
13 – | NINTENDO CO LTD | 37,193,203 | ||
14 – | 소니 | 32,572,309 | ||
15 ▲ 1 | 토요타 | 26,633,876 | ||
16 ▼ 1 | PILOT CORP | 26,072,735 | ||
17 – | ISHARES SP 500 JPY HEDGED ETF | 25,842,031 | ||
18 – | YODOGAWA STEEL WORKS LTD | 22,889,259 | ||
19 – | J TRUST CO LTD | 22,017,515 | ||
20 ▲ 1 | 도쿄일렉트론 | 20,731,112 | ||
21 ▲ 1 | NIKKO LISTED IDX FUND US EQUITY (NASDAQ 100) CURRENCY HEDGE ETF | 19,615,040 | ||
22 ▼ 2 | DEMAE-CAN CO LTD | 19,064,451 | ||
23 – | Mitsubishi | 17,738,384 | ||
24 – | SANRIO CO LTD | 17,468,039 | ||
25 – | ASICS CORP | 17,037,625 | ||
26 ▲ 2 | 화낙 | 16,453,660 | ||
27 – | 미쓰비시UFJ파이낸셜그룹 | 15,818,828 | ||
28 ▲ 1 | Itochu | 15,374,058 | ||
29 ▼ 3 | TOKYO STEEL MANUFACTURING CO LTD | 15,316,072 | ||
30 – | GLOBAL X JAPAN SEMICONDUCTOR ETF | 14,313,781 | ||
31 – | 소프트뱅크그룹 | 14,221,941 | ||
32 – | Mitsui | 13,119,962 | ||
33 – | STREAM MEDIA CORP | 12,164,849 | ||
34 – | Marubeni | 11,888,283 | ||
35 – | Sompo Japan Nip | 10,967,511 | ||
36 ▲ 1 | Toyota Tsusho | 10,185,599 | ||
37 ▼ 1 | Sumitomo Mitsui Financial Group | 10,100,918 | ||
38 – | Advantest | 9,697,982 | ||
39 – | NEXT FUNDS TOPIX-17 COMMERCIAL AND WHOLESALE TRADE ETF | 9,311,362 | ||
40 ▲ 1 | Sumitomo | 9,074,889 | ||
41 ▼ 1 | NIPPON CHEMI-CON CORP | 9,001,419 | ||
42 – | Mitsui Engineering & Shipbuilding | 8,295,045 | ||
43 – | MURATA MANUFACTURING CO LTD | 8,244,187 | ||
44 – | TOYO TIRE CORP | 8,010,566 | ||
45 – | NEXT FUNDS TOPIX ETF | 7,478,634 | ||
46 ▲ 3 | NIPPON CARBON CO LTD | 7,321,791 | ||
47 ▼ 1 | NEXT FUNDS NIKKEI 225 HIGH DIVIDEND YIELD STOCK 50 INDEX ETF | 7,288,618 | ||
48 – | GLOBAL X 25+ YEAR T-BOND ETF (JPY HEDGED) | 6,864,209 | ||
49 NEW | Keyence Corp | 6,758,850 | ||
50 ▼ 3 | NEXT FUNDS REIT INDEX ETF | 6,730,631 | ||
더보기 |
순위 | 종목 | 보관금액 | ||
---|---|---|---|---|
1 – | KIM GROWTH VN30 ETF | 55,061,114 | ||
2 – | VIET NAM NATIONAL PETROLEUM GROUP | 25,604,314 | ||
3 – | PETROVIENAM OIL CORP | 21,048,226 | ||
4 – | Hoa Phat | 13,071,081 | ||
5 – | VFMVN30 ETF FUND | 12,261,120 | ||
6 – | VINGROUP | 12,060,188 | ||
7 – | BAOVIET | 10,064,191 | ||
8 – | MAFM VN30 ETF | 10,008,098 | ||
9 – | SSI SECURITIES | 6,266,238 | ||
10 ▲ 3 | MASAN CONSUMER CORP | 4,794,774 | ||
11 ▼ 1 | VIET NAM DAIRY PRODUCTS | 4,189,281 | ||
12 ▼ 1 | FPT | 4,045,968 | ||
13 ▼ 1 | MASAN | 3,615,564 | ||
14 – | VNDIRECT SECURITIES | 2,689,446 | ||
15 – | PETROVIETNAM GAS | 2,064,626 | ||
16 – | Everpia | 1,799,490 | ||
17 – | VINHOMES | 1,766,544 | ||
18 – | VFMVN DIAMOND ETF | 1,641,607 | ||
19 – | BANK FOR FOREIGN TRADEOF VIETNAM | 1,617,904 | ||
20 – | VIET NAM BANK FOR INDUSTRY AND TRADE | 1,262,690 | ||
21 – | TNG INVESTMENT AND TRADING JSC | 1,180,292 | ||
22 – | Mobile World Investment | 1,133,513 | ||
23 – | Hoa Sen | 1,071,937 | ||
24 – | FPT DIGITAL RETAIL | 998,486 | ||
25 – | MILITARY INSURANCE JOINT STOCK | 984,950 | ||
26 – | PETROVIETNAM TRANSPORTATION | 963,466 | ||
27 – | VIETJET AVIATION | 962,154 | ||
28 – | VIET CAPITAL SECURITIES | 886,376 | ||
29 – | CEO GROUP JSC | 843,551 | ||
30 – | VIETNAM PROSPERITY COMMERCIAL BANK | 819,389 | ||
31 – | BAOMINH INSURANCE | 814,249 | ||
32 – | BIDV Insurance. | 813,087 | ||
33 – | VIETTEL POST JSC | 750,041 | ||
34 – | HATAY PHARMACEUTICAL JSC | 747,166 | ||
35 – | Mirae | 685,107 | ||
36 ▲ 1 | URBAN DEVELOPMENT AND CONSTRUCTION | 667,652 | ||
37 ▼ 1 | KIDO | 663,066 | ||
38 – | CAMIMEX GROUP | 636,487 | ||
39 – | HO CHI MINH CITY SECURITIES | 603,430 | ||
40 – | THANH CONG TEXTILE GARMENT INVESTMENT | 585,722 | ||
41 – | BANK FOR INVESTMENTOF VIETNAM | 556,092 | ||
42 – | SAIGON BEER – ALCOHOL – BEVERAGE | 534,731 | ||
43 – | DHG Pharmaceutical | 440,348 | ||
44 – | MB SECURITIES JSC | 415,541 | ||
45 – | CMC | 413,433 | ||
46 – | Ho Chi Minh City Infrastructure | 377,765 | ||
47 – | Vincom Retail | 374,027 | ||
48 – | 911 GROUP | 361,520 | ||
49 – | KINH BAC CITY DEVELOPMENT | 358,011 | ||
50 – | HO CHI MINH CITY DEVELOPMENT JOINT STOCK COMMERCIAL BANK | 349,045 | ||
더보기 |