At Mirae Asset, we aim to capture long-term growth opportunities in emerging markets while simultaneously managing investment risk by a diverse range of innovative solutions to help meet your investment needs.
Bottom-up Fundamental Analysis
Our strategies built on this framework provide investors a variety of offerings focused on achieving long-term growth through emerging markets, Asian and global equities.
Mirae Asset ESG Asia Great Consumer Equity Fund
A concentrated, 30-stock portfolio which seeks to capitalize on the growth in middle-class consumption across Asia, focusing on high-quality companies with solid long-term growth prospects.
Mirae Asset ESG India Sector Leader Equity Fund
Mirae Asset ESG Asia Growth Equity Fund
Mirae Asset ESG China Growth Equity Fund
The Fund aims to capture the growth champions in China’s evolving landscape by identifying high potential growth companies at the early stages.
Our collaborative team based approach involves the entire Asian network of Mirae Asset Global Investments Group which meets regularly to share information and investment ideas.
Mirae Asset Global Investments (Hong Kong) Limited serves as the Group’s main investment and distribution hub for the entire Asia Pacific region. Our team in Hong Kong includes more than 50 employees across seven main business units. The team includes experienced individuals across multiple areas, including dedicated investment and risk management professionals, bringing a wide array of skills to bear on our collaborative process.
At Mirae Asset, our fixed income strategies deliver a combination of sustainable income and growth potential. Our disciplined, research-driven and team-based approach ensures investment consistency and allows us to target reliable outcomes for clients.
Building on our framework, we provide investors a variety of offerings featuring global unconstrained and emerging market strategies.
Global Dynamic Bond Strategy
Combining our team’s unique expertise with this approach allows us to invest across the full spectrum of countries, sectors and investment grades.
We manage our fixed income strategies within a disciplined process and systematic framework these tools allow us to focus on stable performance low volatility and diligent risk management in service of our clients investment objectives.
Our on-the-ground investment team of 27 fixed income investment professionals located in four countries around the world work collaboratively in managing our fixed income capabilities.