| Type |
Foreign currency CDS Index |
| Announcement Frequency |
Daily closing index announced at 19:00(KST) |
| Base Date |
January 4, 2022 (100.00p) |
| Constituent Universe |
KP issuing institutions |
| Credit Rating |
Domestic investmentgrade ratings of AA or higher |
| Calculation |
Based on the difference between bond yield curves of universe issuers and riskfree rates to derive CDS spread |
| Universe Replacement Date |
Every six months (March 21 and September 21, or the next business day if a holiday) |
| Coupon |
Annual 100bp |
| Coupon Frequency |
Quarterly (March, June, September, December 20, or the next business day if a holiday) |
| Day Count Convention |
ACT/360 |
| Accrued Interest Adjustment |
Adjusted |
| Maturity |
5 years |
| Weight |
Equal weighting |
| Taxes |
Excluded |
| Base Currency |
USD |
| Announcing Institution |
KIS Pricing |