South Korea is considering raising transaction costs to curb ETF speculation.
Wallstreetcn
07-29 20:34
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South Korea plans to stabilize its stock market by increasing transaction costs and limiting exposure to leveraged ETFs.
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South Korea has stated that it will continue to introduce measures to stabilize the stock market, with limiting retail investors' exposure to leveraged ETFs being a key focus. Local regulators are also assessing whether to increase transaction costs to curb short-term speculation.

Stabilize the stock market

The South Korean government's statements indicate that the policy focus remains on curbing overheated trading. Related measures primarily revolve around ETFs, especially leveraged products.

Market participants are generally concerned that increased transaction costs may reduce the willingness of short-term funds to participate. The regulators' goal is to reduce the amplifying effect of speculative trading on market volatility.

Limit leverage exposure

This proposal also includes tightening retail investors' exposure to leveraged ETFs. In other words, regulators hope to reduce the overuse of high-risk products.

Such adjustments typically affect trading activity and may also change how some funds are allocated between stocks and ETFs.

Follow-up observation

The relevant measures are still in the implementation and evaluation stage. The subsequent performance of the South Korean stock market, and whether regulators will further refine the implementation methods, remain key focuses of market attention.

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