Mirae Asset Korea New Growth Equity Fund
Fund Objective
Fund Prices
As of 16/06/2025Total Fund Size (USD million) | 2.13 |
Net Asset Value per Share (USD) | 8.07 |
Daily Change (%) | 2.54% |
Cumulative Peformance Chart
Allocations
As ofFund Weight | Benchmark Weight | Fund Benchmark | |
---|---|---|---|
Allocations are subject to change. |
Fund Managers
Lead Portfolio Manager

Head of Research Division (Korea)
Co-Portfolio Manager

Team Leader of Research Team 2 (Korea)
Fund Documents
Legal Documents
Marketing Documents
Application Forms
Source: FactSet, Bloomberg and Mirae Asset Global Investments (Hong Kong) Limited.
Investment involves risks. Past performance information is not indicative of future performance. Please refer to the relevant offering document, including fact sheet or prospectus for more information (including risk factors). All performance numbers are net of fees, NAV to NAV, in USD, and with dividends reinvested.
The calendar year return % show by how much the Fund increased or decreased in value during the calendar year being shown. Where no past performance is shown there was insufficient data available in that year to provide performance.
Benchmark: KOSPI Index. The benchmark is a price return index that includes reinvestment of dividends/income.
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The Fund is a sub fund of Mirae Asset Global Discovery Fund (the Company) a société d’investissement à capital variable (SICAV) domiciled in Luxembourg structured as an umbrella with a number of sub funds. This website has been prepared for marketing, presentation, illustration and discussion purposes only. The views and opinions contained in this website are those of Mirae Asset Global Investments (HK) Ltd., which are subject to change without notice and should not be construed as investment or taxation advice. The provision of this document does not constitute or form part of any offer or recommendation to issue, buy or sell, or any solicitation of any offer to subscribe for or purchase any shares nor shall it or the fact of its distribution form the basis of, or be relied upon in connection with, any contract thereof. Nothing in this document shall be construed as advice.
Past performance is not a reliable indicator of future results. Performance calculations are net of fees, based on the reinvestment of dividends. The value of investments, and the income from them, can fall as well as rise and investors may not get back the amount originally invested. Exchange-rate fluctuations may also affect the value of their investment. Due to this and the initial charge that is usually made, an investment is not usually suitable as a short-term holding. Commissions and costs have an adverse effect on the performance of the fund. The benchmark, when there is one could be calculated based on net or gross dividend. Please refer to the fact sheet or prospectus for more information.
The data in this website comes partially from third-party sources and as a result the accuracy, completeness or correctness of the information contained in this publication is not guaranteed, and third party data is provided without any warranties of any kind. Mirae Asset Global Investments (HK) Ltd. shall have any liability in connection with third party data. This website does not explain all the risks involved in investing in the Fund and therefore you should ensure that you read the Prospectus which contain further information including the applicable risk warnings. The Prospectus and KI(I)D for the Fund are available free of charge from https://www.am.miraeasset.eu/.