Goal of risk control:
While maintaining a proper divergence, we are dedicated to the elementary research of the enterprise.
Enhance the risk control over every single investment objective and achieve the risk monitoring of overall portfolio.
Method of risk management:
Only invest in the companies that have been carefully researched, and keep following up with the invested companies.
Employ quantitative risk prevention approaches such as liquidity/volatility analysis, risk/return analysis and quantifying risk control, etc. to manage the investment risks. |