About K Global Asset Management
K Global Asset Management is a Korean asset management firm founded on December 17th 2020.
Amid fierce competition and growing investors’ distrust towards institutional investors, K Global Asset Management seeks to achieve new milestone within the Korean finance industry through ‘Purple Bull’ strategy.
K Global Asset Management seeks to differentiate itself – blue ocean strategy - from other investment firms within a seemingly crowded industry (i.e., red ocean).
K in “K Global Asset Management” means Korea, and we strive to become the global asset management firm based in Korea.
K Global employs two strategies that vary from region to region.
We invest in 1) global innovative firms mostly in the U.S and China, and 2) Korean firms to improve corporate governance and ESG.
Our global fund is a concentrated portfolio of small and mid-cap companies that are likely to benefit from emerging secular trends.
We also invest in Korean companies that we believe can help improve corporate governance and ESG thereby increasing company value.
While these two strategies mainly consist of long positions, we may find short-sale opportunities for stocks that lack neither long-term prospects nor improving fundamentals.
We always put customers’ interests first with utmost transparency and differentiated investment approach.
If you would like to learn more about K Global Asset Management, please contact us at
Tel : +82 2 780 7010
Fax : +82 2 780 7016
Email : firstname.lastname@example.org
27th Fl,. One IFC, 10 Gukjegeumyung-ro, Yeongdeungpo-gu, Seoul, Korea 07326