Investment Philosophy

Achieve Stable Excess Returns Through Active Management

As a professional asset management company, we incorporate new investment techniques in response to changes in the market environment and provide top-tier investment performance that aims to produce steady earnings in the medium and long term.

For active investment products, we secure excess earnings by defining inefficiencies in the market and constructing a consistent investment process to turn these inefficiencies into investment opportunities.

In order to achieve this, we uncover inefficiencies through our unique global research platform, take appropriate risks based on our professional skill, manage risks from diverse perspectives, and conduct constant quality control throughout the entire investment process.