STRATEGY
We strive to maximize investment returns by enhancing the value of assets through transparent and efficient asset management.
We implemented a thorough risk management framework
to manage risks consistently based on our accumulative know-how
from numerous past transactions.
Pre-Risk Management
Analyze the potential risks before hand to prepare risk measures and share the information.Pre-investment Review
Review all the issues and potential risks through IC and RMCContinuous Monitoring
Oversight through continuous monitoring by each asset and prepare contingency plansPost-Risk Management
Company-wide proactive response to investment risksReport & Coordination
Analyze the cases and establish risk management framework, report to BOD or FSC if needed