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IInvestment focused on low-evaluated blue chip stock (asset play) comparing intrinsic value among the stocks with the high dividend ratio
The items achieved the fixed target profit ratio change to bond in order to pursue the continuous stable profit
Effective risk control using derivatives
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Invest below 60% of the portfolio in stocks and below 60% in bonds but operate elastically according to the market situation
Investment focused on low-evaluated blue chip stock (asset play) comparing intrinsic value
Effective risk control using derivatives
more
Invest below 60% of the portfolio in stocks and below 60% in bonds
Commodity suitable for over 3 months' investment
Minimization of items risk by investing to model portfolio items
Confront effectively at the period of the stock price adjustment or market influence of box zone
Stock operation : Operate about 30 % of stock portfolio as basic portfolio and the remaining less 30% of the portfolio is operated by system trading
LOSS-CUT : risk control using system
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