Fund
Public Funds

TIMEFOLIO Public Funds

Public Fund Investment and
Subscription Methods

TIMEFOLIO With Time

Investors can gain diversified exposure to TIMEFOLIO’s multi-strategy hedge fund, which seeks stable performance even with a relatively small investment.
The primary investment strategies of the underlying fund, TIMEFOLIO Hedge Fund, include Domestic Equity Long/Short, Alternative Investments, Overseas Equity Long/Short, Global Macro, and Event-Driven strategies.

※ Reviewed by the Compliance Officer of TIMEFOLIO Asset Management, Approval No. 2025-554

Distributor List
  • 신한투자증권
  • 삼성증권
  • 한국투자증권
  • 미래에셋증권
  • kb증권
  • 우리투자증권
  • nh투자증권
  • 하나은행
  • 유안타증권
  • 유진투자증권
  • 삼성생명
  • 키움증권
  • 메리츠증권
  • ibk투자증권
  • 한화투자증권
  • 신영증권
  • im증권
  • sk증권
  • 교보증권
  • db증권
  • 현대차증권
Product Type
Fund of Funds, Add-on Type Fund, Open-ended Fund, Master-Feeder Fund, Class-type Fund
Administrative Company
KOREA FUND PARTNERS
Management Company
TIMEFOLIO ASSET MANAGEMENT
Benchmark
No Benchmark
Net Assets (Class Total)
Investment Risk Grade
1 (very high risk)
Trustee Company
HANA BANK
Redemption Method

1. If the redemption request is submitted by 5:00 p.m., it will be processed at the NAV of the ninth business day, and the redemption proceeds will be paid on the thirteenth business day from the request date.
2. If the redemption request is submitted after 5:00 p.m., it will be processed at the NAV of the tenth business day, and the redemption proceeds will be paid on the fourteenth business day from the request date.

Fund Basic Information
Inception Date
2019-09-23
Settlement Date
May 26
Net Assets
441,103,416 KRW
Net Asset Value
(Taxable Base NAV)
1,083.95
Front-end Sales Fee
Not applicable
Back-end Sales Fee
Not applicable
Redemption Fee
Not applicable
Trust Fee
Total Expense Ratio (TER): 0.07% per annum of average net assets
- Management Fee: 0.01% per annum
- Sales Fee: 0.01% per annum
- Trust Fee: 0.03% per annum
- Administrative Fee: 0.02% per annum
Distributor Information
Samsung Securities
Performance by Period
Base Date 2025-12-24
1개월
Date Fund (KRW)
Base Price vs. Previous Day
2025-12-24 1,102.56 3.62
2025-12-23 1,098.94 11.44
2025-12-22 1,087.50 2.32
2025-12-19 1,085.18 -1.42
2025-12-18 1,086.60 -1.34
2025-12-17 1,087.94 -3.25
2025-12-16 1,091.19 -13.33
2025-12-15 1,104.52 3.11
2025-12-12 1,101.41 -2.59
2025-12-11 1,104.00 6.54
view more (10/22)
Management Performance
Category /
Return Rate
1 Month 3 Month 6 Month 1 Year 3 Year 5 Year Since Inception
Fund Return
Rate (%)
-0.98 3.52 0.59 12.62 33.63 79.25 120.54
*The above returns are pre-tax returns.
*Benchmark: None
Essential Considerations When Subscribing to Funds
  • Before investing in collective investment securities, please read the (simplified) investment prospectus carefully to understand the investment objectives, fees and charges, and redemption procedures.
  • The value of collective investment securities may fluctuate depending on the management performance, and investors may suffer losses on the principal invested.
  • These collective investment securities are not protected by the Korea Deposit Insurance Corporation under the Depositor Protection Act.
  • Additional costs such as brokerage commissions and transaction fees may be incurred.
  • Past performance does not guarantee future results.
  • For class-type funds, returns may vary among classes due to differences in fees and charges applicable to each class of collective investment securities.
  • For investments in foreign assets, losses may occur due to exchange rate fluctuations.
  • For fund of funds, additional fees and transaction costs may arise from the underlying funds.
  • Tax standards and taxation methods are subject to change according to amendments to relevant tax laws and regulations.
  • Information regarding the fees, charges, performance, and portfolio composition of financial investment products is provided in a standardized format.