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Kospi Composite Index ($KSIC)

[[ item.lastPrice ]] [[ item.priceChange ]] ([[ item.percentChange ]]) [[ item.tradeTime ]] [SPECIAL]
[[ rootItem.symbol ]]underlying price [[ rootItem.lastPrice ]] [[ rootItem.priceChange ]] ([[ rootItem.percentChange ]]) [[ rootItem.tradeTime ]]
Quote Overview for [[ item.sessionDateDisplayLong ]]
[[ rowChartData.labelLow ]]
[[ rowChartData.lowPriceFormatted ]]
[[ rowChartData.lowPrice ]]
[[ rowChartData.labelHigh ]]
[[ rowChartData.highPriceFormatted ]]
[[ rowChartData.highPrice ]]
since [[ rowChartData.lowDate ]]
since [[ rowChartData.highDate ]]
[[ value ]] [[ value ]] ([[ financialData.relativeStrengthDirection14d ]]) ([[ financialData.highPercent1y ]]) ([[ financialData.lowPercent1y ]])

Price Performance

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Period Period Low Period High Performance
1-Month
7,378.10 +9.63%
on 07/03/26
9,385.59 -13.82%
on 06/19/26
-713.15 (-8.10%)
since 06/02/26
3-Month
5,404.91 +49.65%
on 04/06/26
9,385.59 -13.82%
on 06/19/26
+2,711.04 (+50.42%)
since 04/03/26
52-Week
3,032.99 +166.68%
on 07/07/25
9,385.59 -13.82%
on 06/19/26
+4,972.07 (+159.55%)
since 07/03/25

Most Recent Stories

More News
The Third Wave of AI: Why It’s Time for Investors to Pivot From ‘Infrastructure’ to ‘Efficiency’

With the semiconductor sector showing signs of exhaustion and overvaluation, the AI investment playbook is fundamentally shifting. Investors must now pivot away from hardware builders to traditional firms...

NVDA : 194.83 (-1.39%)
DE : 621.27 (-1.01%)
AVGO : 360.45 (-2.41%)
$NASX : 25,832.67 (unch)
SMCI : 27.22 (-1.56%)
JPM : 334.47 (+0.12%)
MU : 975.56 (-5.49%)
UNH : 425.36 (-0.28%)
MSFT : 390.49 (+1.62%)
SPCX : 162.00 (+2.83%)
CAT : 963.53 (-2.81%)
$KSIC : 8,088.34 (+5.76%)
Here’s Why I’m Selling Micron Before Earnings. It’s a Matter of Risk Control, Not Lack of Conviction.

Micron options pricing suggests an extreme move post earnings. Irrespective of how strong the memory demand is, it may not be worth risking money on a binary event.

NVDA : 194.83 (-1.39%)
$SPX : 7,483.24 (unch)
MU : 975.56 (-5.49%)
$KSIC : 8,088.34 (+5.76%)
‘Black Tuesday’ in South Korea Is a Geopolitical Warning for an Overheated Wall Street

The dramatic 10% collapse of South Korea’s Kospi Index and the resulting slide on Wall Street cannot be understood through overvalued AI charts alone. Here's what's actually going on.

MSFT : 390.49 (+1.62%)
NVDA : 194.83 (-1.39%)
GOOG : 356.18 (-0.48%)
GOOGL : 359.91 (-0.36%)
AAPL : 308.63 (+4.84%)
$NASX : 25,832.67 (unch)
SPCX : 162.00 (+2.83%)
$SPX : 7,483.24 (unch)
$KSIC : 8,088.34 (+5.76%)
MU : 975.56 (-5.49%)
CBQ26 : 72.92s (-0.31%)
AMZN : 242.67 (+0.40%)
South Korea’s Stock Market Just Fell 12% in 1 Day. Here's What It Means for Investors.

The iShares MSCI South Korea ETF (EWY) just experienced a sudden dramatic drop. Here's what to know about what happened and what it means for U.S. investors.

EWY : 180.14 (-2.89%)
$SPX : 7,483.24 (unch)
$KSIC : 8,088.34 (+5.76%)
SLV : 55.02 (+2.69%)
IWM : 297.58 (-0.58%)

Barchart Technical Opinion

The Barchart Technical Opinion rating is a 80% Buy with a Average short term outlook on maintaining the current direction.

Long term indicators fully support a continuation of the trend.

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Key Turning Points

3rd Resistance Point 9,115.23
2nd Resistance Point 8,625.75
1st Resistance Point 8,357.05
Last Price 8,088.34
1st Support Level 7,598.87
2nd Support Level 7,109.39
3rd Support Level 6,840.69

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52-Week High 9,385.59
Last Price 8,088.34
Fibonacci 61.8% 6,958.90
Fibonacci 50% 6,209.29
Fibonacci 38.2% 5,459.68
52-Week Low 3,032.99

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