The objective of the fund is to gain stable yield exceeding current interest rate while reducing market risk by applying multiple market neutral strategies, of which the main one is fundamental/technical equity long-short strategy that longs stocks expected to outperform and shorts indices or overvalued stocks. The event driven strategy is also accompanied that includes IPO, “block deal” and M&A related long-short.
The information on returns on this website is only for reference. The information may not be most up-to-date. Midas Asset Management is not legally responsible for the investment decisions based on the information provided on this website.
Beneficiaries should undertake all the profit/loss of the funds caused by the result of investment. Therefore those considering investing in the funds should carefully read the prospectus before making investment decisions. Past performance is not indicative of future performance. Fluctuation in exchange rates may have a positive or negative effect on the value of foreign-currency denominated securities and financial instruments. It may result in financial loss of its beneficiaries.
This website is made in the Korean language, and if there shall arise any conflict between the Korean version and any translation thereof, including this English translation, the Korean version shall prevail.