X

RESEARCH

Corporate Social Responsibility

Investment instruments

Investment Products

투자전략

Investment Products

Product Lineup

  • img

    Global
    Alpha Fund

    01

    01

    Global Alpha Fund

    Seeks excess returns over the market.
    We select companies with superior cash flow and earnings growth based on our proprietary Quant models, which have been proven through long-term management.
    We carefully select companies capable of long-term growth through in-depth fundamental research.
    By investing in global equity markets regardless of region, we capture a wide range of investment opportunities.

  • img

    KOSDAQ
    Venture Fund

    02

    02

    KOSDAQ Venture Fund

    We make long-term investments in listed and unlisted venture companies with high growth potential while investing in Initial Public Offerings (IPOs) based on our priority allocation advantage in public offerings.
    We seek long-term excess returns compared to general public offering investments by actively investing in listed venture companies that possess differentiated technology and adapt well to the changes of the era.

  • img

    Domestic IPO
    (Public Offering)
    Fund

    03

    03

    Domestic IPO (Public Offering) Fund

    This is a medium-risk, medium-return fund that invests in domestic public offerings.

  • img

    Discretionary Investment Products

    04

    04

    Discretionary Investment Products

    These products involve direct investment within the client’s own securities account, with long-term asset growth as the top priority.
    While the investment regions are more limited compared to funds, these products are suitable for investors seeking high-risk, high-return opportunities through concentrated investment.
    (Available for subscription through Korea Investment & Securities, NH Investment & Securities, Hana Securities, DB Financial Investment, and SK Securities.)

  • img

    Advisory
    Wrap Products

    05

    05

    Advisory Wrap Products

    These are securities firm wrap products managed through the advisory of RootN Global Asset Management, focusing on investments in U.S. equities.
    We diversify investments across high-quality U.S. companies using Quant models and prioritize stability by responding to market volatility through cash allocation.
    This is a medium-risk, medium-return product suitable for investors who wish to invest in U.S. stocks.
    (Available for subscription through Korea Investment & Securities and NH Investment & Securities.)