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해외주식 매매량 TOP50
미국
중국
홍콩
일본
베트남
(2026-06-05 집계기준, 단위 : USD)
| 순위 |
종목 |
보관금액 |
|
1
–
|
테슬라
|
23,709,678,666
|
|
2
–
|
엔비디아
|
17,821,681,682
|
|
3
–
|
알파벳
|
8,739,071,860
|
|
4
▲ 2
|
INVESCO QQQ TRUST SRS 1 ETF
|
4,883,193,764
|
|
5
▲ 2
|
애플
|
4,758,033,781
|
|
6
▲ 4
|
Vanguard 500 Index Fund
|
4,598,103,094
|
|
7
▼ 2
|
IONQ INC
|
4,518,429,812
|
|
8
–
|
마이크론 테크놀로지
|
4,119,578,120
|
|
9
–
|
PROSHARES ULTRAPRO QQQ ETF
|
4,073,600,758
|
|
10
▲ 1
|
Palantir Technologies
|
4,070,641,730
|
|
11
▼ 7
|
DIREXION DAILY SEMICONDUCTORS BULL 3X SHS ETF
|
4,011,835,063
|
|
12
–
|
마이크로소프트
|
3,438,348,700
|
|
13
▲ 1
|
Schwab Strategic
|
3,171,378,204
|
|
14
▼ 1
|
BROADCOM INC EXOF 005644980 SG9999014823
|
3,022,788,188
|
|
15
▲ 2
|
SPDR S&P 500 ETF Trust
|
2,900,494,584
|
|
16
–
|
INVESCO NASDAQ 100 ETF
|
2,849,650,818
|
|
17
▼ 2
|
SNDSK CRP ORD WI
|
2,739,166,880
|
|
18
–
|
ProShares Ultra QQQ (ETF)
|
2,236,740,085
|
|
19
–
|
아마존
|
2,137,461,615
|
|
20
–
|
DIREXION DAILY TSLA BULL 2X SHARES
|
1,821,024,100
|
|
21
▲ 1
|
ISHARES 0-3 MONTH TREASURY BOND ETF
|
1,767,925,223
|
|
22
▼ 1
|
AMD
|
1,723,833,587
|
|
23
▲ 1
|
TSMC 台積電
|
1,563,270,324
|
|
24
▼ 1
|
인텔
|
1,560,186,670
|
|
25
▲ 1
|
Alphabet
|
1,521,992,974
|
|
26
▼ 1
|
ROCKET LAB CORPORATION COM USD0.0001 MRGR 978814817 US7731221062
|
1,426,007,617
|
|
27
–
|
J.P. MORGAN NASDAQ EQUITY PREMIUM INCOME ETF
|
1,376,708,397
|
|
28
–
|
ISHARES SEMICONDUCTOR ETF
|
1,309,511,362
|
|
29
▲ 1
|
SPDR PORTFOLIO SP 500 ETF
|
1,269,590,851
|
|
30
▲ 2
|
메타
|
1,198,604,566
|
|
31
▼ 2
|
IRIS ENERGY LTD
|
1,194,730,663
|
|
32
▼ 1
|
MARVELL TECHNOLOGY INC
|
1,180,292,798
|
|
33
–
|
VANECK SEMICONDUCTOR ETF CHAN 39610601171 US57060U2336
|
859,687,872
|
|
34
–
|
ROUNDHILL MEMORY ETF
|
768,839,240
|
|
35
▲ 6
|
JP MORGAN EQUITY PREMIUM INCOME ETF
|
720,724,939
|
|
36
–
|
Circle Internet
|
719,631,766
|
|
37
▼ 2
|
JOBY AVIATION INC EXOF 008448244 KYG7483N1117
|
713,004,356
|
|
38
▼ 1
|
YANDEX NV CL A
|
676,313,147
|
|
39
▲ 1
|
Lumentum Holdings Inc
|
674,893,288
|
|
40
▼ 2
|
오라클
|
665,419,392
|
|
41
▲ 1
|
Asml
|
662,314,034
|
|
42
▲ 5
|
리얼티인컴
|
637,980,834
|
|
43
▲ 6
|
BERKSHIRE HATHAWAY INC CL B
|
635,702,438
|
|
44
▲ 4
|
유나이티드헬스
|
622,655,487
|
|
45
▼ 2
|
Microstrategy
|
618,269,346
|
|
46
–
|
iShares S&P 500 Index (ETF)
|
615,877,495
|
|
47
▼ 3
|
BITMINE IMMERSION TECHNOLOGI
|
575,178,557
|
|
48
NEW
|
NEOS NASDAQ 100 HIGH INCOME ETF
|
561,772,382
|
|
49
▼ 4
|
ARM HOLDINGS PLC SPON ADS EACH REP 1 ORD SHS
|
560,608,456
|
|
50
▼ 11
|
DXN MU BUL2X ETF
|
542,729,723
|
더보기
|
| 순위 |
종목 |
보관금액 |
|
1
–
|
항서제약
|
81,894,155
|
|
2
–
|
닝더스다이
|
58,456,082
|
|
3
–
|
비야디
|
57,612,982
|
|
4
–
|
북방화창
|
54,979,434
|
|
5
–
|
중국평안
|
27,705,575
|
|
6
–
|
귀주모태
|
26,717,510
|
|
7
–
|
웨이얼반도체
|
23,576,733
|
|
8
▲ 1
|
중국중면
|
21,694,160
|
|
9
▼ 1
|
CAMBRICON TECHNOLOGIES CORPORATION
|
20,681,800
|
|
10
–
|
자금광업
|
19,152,089
|
|
11
–
|
조역창신
|
16,935,733
|
|
12
–
|
선난써키트
|
11,621,294
|
|
13
–
|
FOXCONN INDUSTRIAL INTERNET
|
11,107,693
|
|
14
–
|
삼일중공
|
10,644,143
|
|
15
–
|
E FUND MANAGEMENT
|
9,408,892
|
|
16
–
|
메이디그룹
|
9,146,394
|
|
17
–
|
강봉리튬
|
8,679,589
|
|
18
▲ 1
|
입신정밀
|
7,795,630
|
|
19
▼ 1
|
CHINA ASSET MANAGEMENT CO ROBOT ETF
|
7,631,287
|
|
20
–
|
약명강덕신약개발
|
6,975,290
|
|
21
▲ 2
|
해천미업
|
6,828,758
|
|
22
▼ 1
|
융기실리콘
|
6,707,762
|
|
23
▼ 1
|
CHINA ASSET MANAGEMENT CO HX CSI5G COMMUNICATIONS
|
6,580,745
|
|
24
–
|
CHINA MOBILE
|
6,477,305
|
|
25
–
|
중신증권
|
6,428,211
|
|
26
–
|
SANHUA
|
6,385,930
|
|
27
–
|
HARVEST FUND MANAGEMENT SSE STAR CHIP IDX ETF CNY
|
5,745,310
|
|
28
▲ 1
|
농업은행
|
5,687,263
|
|
29
▼ 1
|
JCET
|
5,367,362
|
|
30
▲ 1
|
상하이자동차
|
4,900,428
|
|
31
▲ 1
|
이리구펀
|
4,665,243
|
|
32
▲ 2
|
오량액
|
4,543,923
|
|
33
▲ 2
|
하이얼
|
4,456,684
|
|
34
▼ 1
|
MEGMEET
|
4,450,315
|
|
35
▲ 1
|
창신신소재
|
4,211,016
|
|
36
▲ 1
|
SYTECH
|
4,130,462
|
|
37
▲ 4
|
BOE테크놀로지
|
3,770,147
|
|
38
–
|
HDGF
|
3,737,707
|
|
39
▲ 6
|
광신과기
|
3,645,620
|
|
40
–
|
SUGON
|
3,622,714
|
|
41
▼ 2
|
HGTECH
|
3,569,993
|
|
42
▲ 4
|
JZYY
|
3,544,172
|
|
43
–
|
CHINAAMC SSE SCIENCE AND TECHNOLOGY INNOVATION BOARD 50 ETF
|
3,518,255
|
|
44
–
|
E FUND MANAGEMENT CO LTD CSI CLOUD COMPUTING & BIG
|
3,502,060
|
|
45
▲ 2
|
공상은행
|
3,461,366
|
|
46
▲ 4
|
격력전기
|
3,158,118
|
|
47
NEW
|
항립유항
|
3,091,062
|
|
48
NEW
|
신비정보
|
3,078,203
|
|
49
NEW
|
하이크비전
|
2,986,408
|
|
50
▼ 1
|
ENVICOOL
|
2,970,251
|
더보기
|
| 순위 |
종목 |
보관금액 |
|
1
–
|
XL2CSOPHYNIX
|
189,357,649
|
|
2
–
|
GLOBAL X CHINA SEMICONDUCTOR ETF (HKD)
|
175,583,114
|
|
3
▲ 1
|
텐센트 홀딩스
|
133,299,570
|
|
4
▼ 1
|
XL2CSOPSMSN
|
130,500,005
|
|
5
▲ 2
|
알리바바(홍콩)
|
121,354,319
|
|
6
▼ 1
|
강봉리튬
|
120,774,293
|
|
7
▼ 1
|
SMIC
|
113,472,132
|
|
8
–
|
TIANQI LITHIUM
|
80,377,255
|
|
9
▲ 1
|
비야디
|
80,229,343
|
|
10
▼ 1
|
00100
|
69,495,789
|
|
11
–
|
MONTAGE TECHNOLOGY
|
60,838,098
|
|
12
–
|
샤오미
|
46,242,273
|
|
13
–
|
Ubtech Robotics Ord Shs H
|
45,862,938
|
|
14
–
|
CATL ORD H
|
44,304,852
|
|
15
–
|
GX CL HK-US
|
43,867,200
|
|
16
▲ 1
|
CTG DUTY-FREE
|
36,501,489
|
|
17
▲ 1
|
중국손해보험
|
34,708,571
|
|
18
▲ 1
|
GLOBAL X CHINA ELECTRIC VEHICLE AND BATTERY ETF (HKD)
|
34,254,857
|
|
19
▼ 3
|
VICTORY GIANT
|
32,295,390
|
|
20
–
|
GLOBAL NEW MAT
|
29,395,850
|
|
21
–
|
GLOBAL X US Treasury 3-5 Year ETF
|
23,124,458
|
|
22
–
|
SAMSUNG BLOCKCHAIN TECHNOLOGIES ETF
|
21,653,505
|
|
23
–
|
중국평안
|
20,111,911
|
|
24
–
|
화훙반도체
|
17,881,807
|
|
25
–
|
BAIDU-SW
|
17,303,875
|
|
26
▲ 1
|
지리자동차
|
16,116,023
|
|
27
▼ 1
|
CSOP HANG SENG TECH INDEX ETF (HKD)
|
14,608,561
|
|
28
–
|
차이나모바일
|
13,096,758
|
|
29
▲ 3
|
YESASIA HLDGS
|
12,197,677
|
|
30
▼ 1
|
00068
|
12,023,737
|
|
31
▼ 1
|
GLOBAL X CHINA BIOTECH ETF (HKD)
|
11,973,111
|
|
32
▲ 1
|
메이퇀
|
11,667,553
|
|
33
▼ 2
|
GLOBAL X CHINA CLEAN ENERGY ETF (HKD)
|
11,262,650
|
|
34
–
|
PING AN SECURITIE HKD0.01 HKD0.01 CHAN 009837742 BMG7115B1211
|
10,753,842
|
|
35
▲ 1
|
공상은행
|
10,610,902
|
|
36
▼ 1
|
ISHARES HS TECH ETF HKD
|
10,463,787
|
|
37
▲ 1
|
PETROCHINA
|
10,217,598
|
|
38
▼ 1
|
HARBIN ELECTRIC
|
9,880,809
|
|
39
▲ 1
|
야오밍바이오
|
9,702,372
|
|
40
▼ 1
|
09927
|
9,335,293
|
|
41
▲ 1
|
GLOBAL X CHINA CLOUD COMPUTING ETF (HKD)
|
9,287,177
|
|
42
▲ 4
|
GLOBAL X CHINA ROBOTICS AND AI ETF (HKD)
|
9,209,738
|
|
43
–
|
GLOBAL X CHINA CONSUMER BRAND ETF (HKD)
|
9,135,852
|
|
44
▼ 3
|
DONGFANG ELEC
|
9,060,985
|
|
45
▼ 1
|
DREAM INT'L
|
8,819,891
|
|
46
▼ 1
|
CHINA BRIGHT CULTURE GROUP USD0.00001 (Delisted/BL398Y0) CHAN 970928502 KYG2153C1078
|
8,631,000
|
|
47
▲ 1
|
WUXI XDC CAYMAN INC
|
7,777,188
|
|
48
▼ 1
|
보리협흠
|
7,710,694
|
|
49
–
|
제이디닷컴
|
7,424,743
|
|
50
–
|
중국은행
|
7,343,436
|
더보기
|
| 순위 |
종목 |
보관금액 |
|
1
–
|
KIOXIA HOLDINGS
|
394,822,786
|
|
2
–
|
ISHARES 20+ YEAR US TREASURY BOND JPY HEDGED ETF
|
327,498,499
|
|
3
–
|
KADOKAWA CORP
|
264,166,653
|
|
4
–
|
GOLDWIN INC
|
215,173,131
|
|
5
–
|
Nexon Co
|
148,208,979
|
|
6
–
|
Yahoo Japan
|
117,193,765
|
|
7
–
|
Murata Manufacturing
|
105,436,849
|
|
8
▲ 2
|
소프트뱅크그룹
|
51,266,881
|
|
9
–
|
NIPPON CHEMI-CON CORP
|
50,698,186
|
|
10
▼ 2
|
Mitsubishi
|
50,434,402
|
|
11
▲ 1
|
화낙
|
45,355,038
|
|
12
▼ 1
|
도쿄일렉트론
|
43,958,409
|
|
13
–
|
Marubeni
|
43,038,664
|
|
14
–
|
J.E.T.CO. LTD.
|
41,114,929
|
|
15
▲ 1
|
HARMONIC DRIVE SYSTEMS INC
|
39,275,002
|
|
16
▲ 1
|
Nintendo Co
|
38,930,179
|
|
17
▼ 2
|
J TRUST CO LTD
|
37,879,956
|
|
18
▲ 1
|
미쓰비시UFJ파이낸셜그룹
|
36,482,326
|
|
19
▼ 1
|
GLOBAL X JAPAN SEMICONDUCTOR ETF
|
35,685,040
|
|
20
–
|
Itochu
|
34,388,902
|
|
21
–
|
소니
|
33,067,850
|
|
22
–
|
NEXT FUNDS TOPIX-17 COMMERCIAL AND WHOLESALE TRADE ETF
|
30,354,959
|
|
23
–
|
Sumitomo
|
30,324,832
|
|
24
▲ 1
|
ASICS CORP
|
29,942,231
|
|
25
▲ 1
|
PILOT CORP
|
28,866,252
|
|
26
▼ 2
|
Advantest
|
28,277,821
|
|
27
–
|
Mitsui
|
27,844,093
|
|
28
–
|
토요타
|
27,378,770
|
|
29
–
|
NITTO BOSEKI CO LTD
|
26,212,053
|
|
30
–
|
Toyota Tsusho
|
24,977,772
|
|
31
–
|
Mizuho Financial
|
24,230,307
|
|
32
–
|
YODOGAWA STEEL WORKS LTD
|
23,868,937
|
|
33
▲ 1
|
Mitsubishi Heavy Industries
|
21,991,681
|
|
34
▼ 1
|
IBIDEN CO LTD
|
21,826,689
|
|
35
–
|
ISHARES SP 500 JPY HEDGED ETF
|
21,006,194
|
|
36
–
|
NEXT FUNDS NIKKEI 225 ETF
|
19,614,809
|
|
37
▲ 1
|
STELLA CHEMIFA CORP
|
19,344,063
|
|
38
▲ 2
|
Tokio Marine
|
18,356,805
|
|
39
▼ 2
|
Renesas Electron
|
17,756,722
|
|
40
▼ 1
|
RED PLANET JAPAN INC
|
17,643,431
|
|
41
–
|
NOTE
|
16,525,308
|
|
42
▲ 1
|
Sumitomo Mitsui Financial Group
|
16,033,770
|
|
43
▲ 2
|
Sompo Japan Nip
|
16,019,507
|
|
44
–
|
ISHARES CORE 7-10 YEAR US TREASURY BOND JPY HEDGED ETF
|
15,741,260
|
|
45
▲ 4
|
Hitachi
|
15,681,462
|
|
46
–
|
Fujikura
|
15,391,596
|
|
47
▲ 1
|
TOKYO STEEL MANUFACTURING CO LTD
|
15,319,560
|
|
48
▼ 6
|
NIPPON MINING HOLDINGS,INC.
|
15,227,766
|
|
49
▼ 2
|
Mitsui Mining & Smelting
|
15,191,269
|
|
50
–
|
NEXT FUNDS NIKKEI 225 HIGH DIVIDEND YIELD STOCK 50 INDEX ETF
|
14,787,338
|
더보기
|
| 순위 |
종목 |
보관금액 |
|
1
–
|
KIM GROWTH VN30 ETF
|
87,533,867
|
|
2
–
|
VINGROUP
|
39,142,458
|
|
3
–
|
Hoa Phat
|
13,973,244
|
|
4
–
|
BAOVIET
|
13,673,654
|
|
5
–
|
VFMVN30 ETF FUND
|
10,733,140
|
|
6
–
|
SSI SECURITIES
|
6,794,383
|
|
7
–
|
MASAN CONSUMER CORP
|
5,481,546
|
|
8
–
|
FPT
|
5,438,098
|
|
9
▲ 1
|
MAFM VN30 ETF
|
4,454,812
|
|
10
▼ 1
|
MASAN
|
4,399,082
|
|
11
–
|
VIET NAM DAIRY PRODUCTS
|
4,133,669
|
|
12
–
|
PETROVIETNAM GAS
|
3,424,563
|
|
13
–
|
VINHOMES
|
3,245,546
|
|
14
–
|
VFMVN DIAMOND ETF
|
3,188,746
|
|
15
–
|
BANK FOR FOREIGN TRADEOF VIETNAM
|
2,788,487
|
|
16
–
|
Everpia
|
2,032,244
|
|
17
–
|
PETROVIETNAM TRANSPORTATION
|
1,655,503
|
|
18
–
|
VIET NAM BANK FOR INDUSTRY AND TRADE
|
1,478,145
|
|
19
–
|
VNDIRECT SECURITIES
|
1,416,575
|
|
20
–
|
FPT DIGITAL RETAIL
|
1,207,382
|
|
21
–
|
VIETNAM PROSPERITY COMMERCIAL BANK
|
1,150,402
|
|
22
–
|
MILITARY INSURANCE JOINT STOCK
|
1,144,617
|
|
23
–
|
TNG INVESTMENT AND TRADING JSC
|
1,031,280
|
|
24
▲ 1
|
VIETJET AVIATION
|
996,721
|
|
25
▼ 1
|
BINH SON REFINING AND PETROCHEMICAL JSC
|
924,378
|
|
26
–
|
SAIGON BEER – ALCOHOL – BEVERAGE
|
919,140
|
|
27
–
|
HO CHI MINH CITY SECURITIES
|
877,287
|
|
28
–
|
VIET CAPITAL SECURITIES
|
875,789
|
|
29
–
|
PETROVIETNAM TECHNICAL SERVICES CORP
|
863,321
|
|
30
▲ 1
|
Mobile World Investment
|
836,079
|
|
31
▼ 1
|
Ho Chi Minh City Infrastructure
|
835,718
|
|
32
–
|
VIET NAM ELECTRICAL EQUIPMENT
|
788,872
|
|
33
▲ 1
|
BIDV Insurance.
|
766,900
|
|
34
▼ 1
|
VIX SECURITIES
|
762,494
|
|
35
–
|
Military Commercial Bank
|
751,078
|
|
36
–
|
CEO GROUP JSC
|
705,661
|
|
37
–
|
BAOMINH INSURANCE
|
665,617
|
|
38
–
|
Vincom Retail
|
658,085
|
|
39
–
|
BANK FOR INVESTMENTOF VIETNAM
|
627,032
|
|
40
–
|
Mirae
|
626,399
|
|
41
▲ 2
|
CAMIMEX GROUP
|
606,836
|
|
42
▼ 1
|
HATAY PHARMACEUTICAL JSC
|
605,331
|
|
43
▼ 1
|
PETROVIETNAM POWER
|
596,310
|
|
44
–
|
HO CHI MINH CITY DEVELOPMENT JOINT STOCK COMMERCIAL BANK
|
580,587
|
|
45
–
|
KIDO
|
511,291
|
|
46
–
|
DHG Pharmaceutical
|
481,226
|
|
47
–
|
VIETTEL POST JSC
|
455,808
|
|
48
–
|
CMC
|
433,744
|
|
49
–
|
THANH CONG TEXTILE GARMENT INVESTMENT
|
425,111
|
|
50
–
|
KINH BAC CITY DEVELOPMENT
|
375,084
|
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|