Risk Management Agriculture is a sector influenced by multiple factors, including climate change, government policies, market demand, and global supply chains. The K-Agri Fund implements risk management strategies such as diversification across geographies and commodities, hedging against market fluctuations, and investing in resilient agricultura
K-Agri Fund: Investing in the Future of Agriculture
The K-Agri Fund is an investment fund specializing in the agricultural sector, offering investors exposure to one of the world’s most essential industries. With global demand for food and sustainable agricultural practices increasing, the fund aims to capitalize on opportunities within agribusiness, agricultural commodities, and innovative farmin
KT-AASIA-A Fund employs a risk management approach that includes
Risk Management Given Asia’s market volatility and geopolitical uncertainties, the KT-AASIA-A Fund employs a risk management approach that includes: Sector & Country Diversification: Reducing concentration risk by investing in a variety of industries and regions. Active Portfolio Adjustment: Regularly adjusting holdings based on macroe
KT-AASIA-A Fund: Investing in Asia’s Growth Potential
The KT-AASIA-A Fund is an investment fund that focuses on the dynamic and rapidly growing economies of Asia. Designed for investors looking to capitalize on Asia’s economic expansion, this fund provides exposure to a diversified portfolio of assets across various industries in key Asian markets. Objective The KT-AASIA-A Fund aims to generate lo