GGC Fund

Golden
Great
China

 Fund Management

 
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About

Established in Hong Kong, Golden Great China Fund Management Ltd (GGC Fund), a wholly-owned subsidiary company of the IPG Group, is a leading fund management company. 

 

GGC Fund is granted the Type 4 and Type 9 license by the Hong Kong Securities and Futures Commission for holding customer assets and providing investment consultancy services.  

 

GGC Fund aspires to offer professional advice on assets management and financial planning. The dedication on close communication and consultation with individual and institutional clients will provide immediate assistance to fulfill their financial goals. 

 

Leading a team of legal professionals, investment advisers, financial planners, chartered financial analysts and accountants; we are here to provide comprehensive financial services to customers and formulate best-in-class financial solutions to meet individual needs. 

 

Our commitment to consolidating the long-term partnerships with our customers can be reflected in the outstanding investment performance and quality services. 

 

We are expected to become a distinguished fund management company and seek to reach a world-class level in investment performance, customer service, and integrity. 

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Investment Philosophy

Based on past statistics, and in-depth market analysis, with a combination of innovative investment options and risk controls, GGC Fund demonstrates the ability to maximize sustainable returns and assets value for customers. 
 

Management Philosophy 

We continue to adhere to the top-down macro strategy and the bottom-up micro perspectives to formulate different asset allocation strategies. Having a macroeconomic overview and making a comprehensive analysis of the concerned regulatory policies, we guarantee a detailed and forward-looking market analysis. The establishment of close liaison and joint collaboration with external institutions supports active assets allocation as well as efficient portfolio management, and help us look globally for equity opportunities and investment products of high intrinsic value.

Management Objectives 

GGC Fund believes in long-term investment and value investing for a sustainable and steady income. 

 

Management Principle 

All investment solutions GGC Fund provides are generated in our critical and independent analysis. 

 

Decision-making 

Investment Committee, who is responsible for the management and operation of investments, is the highest decision-making body in the GGC Fund. In consideration of any applicable law, regulation and code, Trustees’ investment guidelines and the general overview of the capital market, the Committee firms up assets allocation portfolios, investment plans, and formulates corresponding investment strategies. 

 

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Investment Portfolios

There is always one to suit your need. 


Conservative

Most conservative investors with a low level of risk tolerance want their portfolios to provide them with a stable and principle-guaranteed income stream to pay their living expenses. So the investments most desired by Conservative investors are the ones of low risk and stable income yield.

Moderate

Moderate investors want good returns and bear some risk to get them. A balance between profits and loss reduction is your goal.

Balance

Balance investors typically want to achieve long-term high returns and are able to bear certain market fluctuations.

Moderately Conservative

Most conservative investors with a low level of risk tolerance want their portfolios to provide them with a stable and principle-guaranteed income stream to pay their living expenses. So the investments most desired by Conservative investors are the ones of low risk and stable income yield.

Moderately Aggressive

Moderately Aggressive investors typically go to achieve long-term returns and are able to bear some market risk.

Aggressive

Aggressive investors intend to contribute relatively large amounts into the portfolio periodically over time via contributions coming from earned-income. These investors should know they are exposed to much more risk than the markets.

 
 

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Fund Management Process

In three steps, GGC Fund provides efficient and effective investment services. 

 

1.        Confirm your investment portfolio with GGC investment managers

Taking your investment goal and risk tolerance level into consideration, you can construct your own investment portfolio which suits your need with the help of our professional team. 

 

2.    Invest in a suitable investment portfolio 

Each portfolio we provide consist of three main categories – currencies, fixed income, and growth products whereas the ratio and percentage of allocation are based on your investment options. 

 

3.    Maintain the most suitable asset portfolio 

Market fluctuations make change the ratio and percentage of allocation of your investment portfolio. In terms of a rising stock price, higher ratio in growth products will better fulfill your need.