The Hedge Fund Division aims to yield
stable returns by managing volatility and maintaining a low correlation
with the market over the long term.
Competitive Edge & Key Features
Utilizing extensive and proprietary quantitative models
Mirae Asset employs a multi-strategy approach, wherein fund managers
specialized in fixed income, equities and foreign exchange cooperate
with one another, to provide our clients with stable returns within a
managed level of risk.
Key Investment Strategy
The Hedge Fund Division mainly utilizes fixed income
arbitrage and relative value investment strategies that are quant-driven
in order to systematically evaluate macro-economic environments. The
division also employs event-driven strategies alongside differentiated
and contrarian ideas to invest in a variety of asset classes across
equities, fixed income, bonds with warrants and derivatives.
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