KOSPI logoKOSPI200
KOSPI logoKOSPI200

Buy the KOSPI 200 dip. Airdrop the profits.

We watch Korea’s large-cap benchmark, accumulate on sharp drawdowns, and distribute realized upside to holders.

Not financial advice. Capital is at risk. Verify levels on the live chart.

The market

KOSPI 200 is Korea’s large-cap benchmark: roughly 200 liquid, representative names and the core reference for institutional products and derivatives. Broad KOSPI covers the wider exchange listing set. Versus the S&P 500 (500 U.S. names), KOSPI 200 is typically more concentrated — semiconductors have historically dominated index weight. That is structure, not a trade signal.

The thesis

Campaign positioning: we are preparing to buy a historic dip in KOSPI 200–linked markets and return realized profits to holders. Treat that as protocol thesis — not an unverified official statistic. Verify live price action on the chart.

The loop

  1. Detect dip

    Rules watch drawdown and volatility on KOSPI 200 [TBD thresholds].

  2. Deploy capital

    Buy approved KOSPI 200–linked instruments [TBD].

  3. Airdrop profits

    Realize upside under policy and distribute to eligible holders.

Live market

TradingView is the source of truth for price. Marketing copy is not.

Chart symbol: KRX:KOSPI200 (KOSPI 200). This is the live source of truth for price — not marketing copy.

KOSPI is a product brand independent of Korea Exchange index governance unless otherwise stated. References to KOSPI 200 are for market context. This website does not constitute an offer or solicitation. Protocol mechanics, fees, and airdrops may change. Nothing here is financial advice. You can lose money. Past or hypothetical performance is not indicative of future results.

Socials: [TBD] · Chain / contract: [TBD]

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