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Suitable for over 6 months' investment
Secure somewhat fixed profit by investing 80% of the portfolio in blue chip bonds and pursue the additional profit through the system trading of government bond futures
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No entry in the stock. Invest over 60% of the portfolio in bonds and below 40 % of liquid assets
Its investment period is at least over 3 months and it is a suitable commodity for the investors who pursue the stable and fixed interest profit
Elastic(flexible) adjustment of the portfolio ratio according to the market situation
Effective risk control using derivatives
more
Commodity suitable for over 6 months' investment.
Focused on the blue chip public and corporate bond as the main performance target
Invest over 60% of the portfolio in bonds and below 40 % of liquid assets
Elastic(flexible) adjustment of the portfolio ratio according to the market situation
Effective risk control using derivatives
more
Focused on the blue chip corporate bond as the main performance target
Invest over 60% of the portfolio in bonds and below 40 % of liquid assets
Elastic(flexible) adjustment of the portfolio ratio according to the market situation
Risk minimization of underlying asset using derivatives
more
Operation with maximized stability by focusing on the blue chip government and public bond as the main performance target
Invest over 80% of the portfolio in bonds and below 20 % of liquid assets
Elastic(flexible) adjustment of the portfolio ratio according to the market situation
Risk minimization of underlying asset using derivatives
more
Operation with maximized stability by focusing on the government and public bond as the main performance target (Stability-based fund)
Invest over 60% of the portfolio in bonds and below 40 % of liquid assets
Elastic(flexible) adjustment of the portfolio ratio according to the market situation
Risk minimization of underlying asset using derivatives
more
Operation with maximized stability by focusing on the blue chip essential function bond as the main performance target
Active practical use of various portfolio analysis system and risk model for the maintenance of the optimum portfolio and risk control
Restriction of risk control of the fund according to the market situation
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