REDDIT
Curious how everyone feels about the KOSPI (SK index) after it dropped nearly 14% today.
Been doing some research and holding a mix of EWY/KORU for a little while now- curious on why the plunge today.
Very light research tells me they are one of the most reliant countries on oil imports- obviously bad at the time being.
Additionally, with Samsung and SK Hynix making up such a huge portion of the total allocation the delay on the Taylor Texas fab plays a huge role in this.
Just curious what everyone thinks- planning to DCA EWY and sprinkle in some KORU calls