Flexible Bond Asset Allocation
We dynamically adjust bond asset allocation based on market
conditions to manage threats and capture revenue
opportunities. This approach actively adjusts the ratio of
asset classes according to market volatility, minimizing risk
and maximizing potential returns.
Theme-Based Investing
We explore high growth potential through investments focused
on long-term global trends and innovative industries. This
strategy leverages megatrends such as technological
advancements, demographic shifts, and environmental
sustainability.
Harmony of Value and Growth Investing
By simultaneously investing in undervalued value bonds and
growth assets with high growth potential in the market, we
pursue diversity and balance in the portfolio.
ESG and Sustainable Investing
We emphasize long-term sustainability and social
responsibility by investing in companies that meet
Environmental, Social, and Governance (ESG) criteria. This
approach integrates social value and environmental
responsibility into investment decisions.