
Investment Philosophy
Realize stable performance of client assets through active investment.
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Team Approach
Establish a bottom-up decision-making process where the research center and the investment division communicate intensely to determine investments.
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High Conviction
We pay attention to the intrinsic value of our investments and selectively invest in stocks that we are confident in by focusing on mid- to long-term competitiveness and sustainability.
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Risk Management
In the investment decision-making process, we consider expected returns and risks together and pursue stable excess returns in a scientific and rational way.
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Corporate Social Responsibility
We recognize corporate social responsibility and incorporate ESG*-focused SRI** concepts into our investment principles.
*Environment, Social Responsibility, Governance
**Socially Responsible Investment
- Carefully consider the Fund's investment objectives, risk factors, changes and expenses before investing. This and additional information can be found in the Fund's (summary) investment prospectus.
- Investing involves risk, including the loss of principal. Any incurred losses are at the investor’s own risk.
- A financial product seller has an obligation to fully explain the above financial investment products And Investors should fully listen to such explanations before investing.
- Collective investment schemes are not insured or guaranteed by the Korea Deposit Insurance Corporation.
- Investment return and principal value will fluctuate, so you may have a gain or loss when shares are sold.
- The performance quoted represents past performance and does not guarantee future results.
- The index and yield information provided on the website is for investment reference only, and errors or delays may occur. We do not take legal responsibility for investment results based on the information provided. ( Data is provided by Koscom and Korea Securities Depository. )