Korean Bonds Loading... : Investor Sentiment and Bull/Bear Views

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Price change since each call, adjusted for long/short direction. Results calculated:

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09:18
Jun 26
Park Seung-young Portfolio Strategy Team Leader, Hanwha Investment & Securit… 3PRO TV (삼프로TV)
Hold 30% US, Korean stocks, bonds.
A static 30-30-30 allocation to US equities, Korean equities, and Korean bonds maximizes risk-adjusted returns while limiting fatigue; bonds should not exceed 30% as they mainly protect during sharp economic downturns, and equities should be split evenly between US and Korea to capture growth from both markets.
MED
13:30
Jun 01
Shin Eol Team Leader, Investment Strategy, Sangsangin Securities 3PRO TV (삼프로TV)
Reduce Korean bonds; rates expected up.
Reduce Korean bond positions because the Bank of Korea is likely to raise rates further, making bonds unattractive. Hold to maturity or shrink allocation.
MED
00:37
Jan 06
Vincent Manager, Hana Securities 3PRO TV (삼프로TV)
Korean bonds gain from index inclusion.
Vincent notes Korea's bond market is being included in a developed-market bond index in April, which creates a physical portfolio need for foreign investors to buy Korean bonds. He frames this as part of the broader expected foreign inflow into Korean assets.
MED

About Korean Bonds Investor Commentary

Across the available history and selected sources, Buzzberg tracks Korean Bonds across 1 sources: 2 bullish vs 0 bearish calls from 3 authors. Historical directional balance: 67% = 100 × (bullish − bearish) / all deduplicated idea records, including other directions. This is neither a probability of a price rise nor the share of bullish authors. 3 total trade ideas tracked. Latest voices: Park Seung-young, Shin Eol, Vincent.