Skip To Content

Multi Strategy Management Division aims to provide the optimal solution to clients by utilizing various
strategies such as foreign and domestic shares, bonds, derivatives, mezzanine, IPO shares. etc.

Assets

  • IPO Fund

  • High Yield Fund

  • Public/PrivateKOSDAQ
    Ventures

  • Mezzanine Fund

  • IPO Advisory

  • Unlisted

  • Hedge funds,
    Absolute profits

  • PF Fund

Philosophy

Provides optimal solutions using diverse range of products and strategies
Offering exceptional competitive management process
based on intensive risk management
Maintaining stable cash flow through rigorous analysis and hedge strategies

Highlights

Long-term
Management Career
  • Prompt decisions and Market response capability
  • Deal sourcing capabilities based on
    comprehensive networks
Various Products
  • Experienced managing alternative investments
  • Equity, bond, derivatives, mezzanine, IPO etc
Financial Engineering
Professionals
  • Combining financial engineering
    knowledge in investments
  • Real-time risk management to drive stable returns