Leverage Concerns Spark Selloff in South Korean ETF Market

Stock News
07/02

Market participants are expressing growing apprehension over structural risks in South Korea's equity landscape. The benchmark KOSPI index has seen its intraday decline deepen to 7%.

In the leveraged exchange-traded fund (ETF) space, the CSOP 2X LG SAMSUNG ETF (07747) has plunged nearly 30%, trading at HK$118.1. Similarly, the CSOP 2X LG SK HYNIX ETF (07709) has tumbled over 26% to HK$109.6, with combined turnover for these products exceeding HK$15 billion.

Underlying Market Risks

A recent analysis from Goldman Sachs highlights a structural risk trap in the Korean market characterized by "high weightings and high leverage." The report suggests that for every 1% increase in the combined index weighting of giants like Samsung and SK Hynix, foreign investors could be compelled to sell approximately $2 billion in holdings. This forced selling stems from compliance with diversification rules under U.S. regulations like the Investment Company Act, creating a paradoxical dynamic where higher index prominence leads to greater foreign capital outflows.

Compounding this issue is a surge in speculative activity by retail investors. Heavy inflows into leveraged ETFs, options, and margin trading are amplifying intraday price swings beyond levels justified by fundamental factors.

Regulatory Scrutiny Intensifies

Regulators have taken note of the overheating in single-stock leveraged products. On June 22, Lee Bok-hyun, Governor of South Korea's Financial Supervisory Service, publicly addressed the speculative fervor surrounding ETFs tied to Samsung Electronics and SK Hynix. He stated that approving such products for listing is a decision he now deeply regrets. The official further indicated that authorities are accelerating efforts to develop measures aimed at protecting investors from the heightened risks associated with these complex financial instruments.

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