KOSPI200We 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.
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.
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.
Detect dip
Rules watch drawdown and volatility on KOSPI 200 [TBD thresholds].
Deploy capital
Buy approved KOSPI 200–linked instruments [TBD].
Airdrop profits
Realize upside under policy and distribute to eligible holders.
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.