“Investment" and "exit" strategies, strongly associated with our asset
management services, are firstly created by the Fund Management Department T, and the Fund Management
Department U. Such plans are evaluated in a fair manner by the Compliance
Committee and the Fund Management Committee including external committee
members to ensure that decisions are fair, objective, and not subject to
conflicts of interest.
Asset managers, exclusively appointed to specific projects, create strategic
business plans for managements and operations aiming value-adding to their asset during holding period.
Overall operations are monitored by a specialized division independent from
the front office, to comply with various regulations and provide appropriate
supervision.
(1)Business Content and Flow
(2)General Investment Structure
Kenedix Advisors (KDA) executes the asset management agreements with the fund
operators (Special-Purpose Companies or “SPCs”) in order to present stable
fund management for investment partners.
Complying with the executed asset management agreements, KDA provides
services to fund operators in acquisition, disposition, and investment
management strategies.
KDA, as an agent of the fund operators, instructs the trust banks, prepares
and delivers periodic reports to investors.
(3)Relationship between Our Company, Investors, and Business Partners
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