In order to increase the efficiency of the use of the funds of the Company and match the resources with the business, the Group seizes opportunities in fund investment, efficiently and fully utilizes the financial resources of the Group, utilizes the professional advantages, talent advantages and management advantages of the fund companies, and makes portfolio investments through the subscription of private equity funds to spread risks, aiming to earn a higher return on investment.
The investment targets include high yield private bonds, private equity investments, other convertible bonds, debt instruments, etc., the maturity of which are mostly more than two years.
Our objective is to deliver long-term capital growth to our shareholders by leveraging a diverse yet complementary portfolio of businesses, investments and multiple asset classes. In relation to the strategic financial investment segment, we work with external partners and investment funds, which are selected based on their medium-to-long-term track record, strategic fit and access to co-investment opportunities.
The Group will continue to seize opportunity in fund investments in order to utilize the Group’s financial resources more efficiently and effectively. To yield better investment returns, the Group will strengthen its original investment fund management, deepen its understanding of fund operations, and fully tap into the experiences and expertise of the management team and general partners in its investment funds.