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BLASH FUND
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Flagship
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Blash Asset Management is an asset management company specializing in managing private investment funds in Korea
We invest across a broad range of asset classes, including equities, bonds, and derivatives, with a particular focus on portfolios primarily composed of listed Korean equities.
Our investment philosophy centers on identifying innovative industry-leading companies and high-growth businesses with strong long-term growth potential. Through disciplined, long-term investing, we aim to generate consistent positive returns on an annual basis and maximize compounded returns over time.
To systematically manage market risk, we may utilize short positions in index futures depending on market conditions. We may also selectively establish short positions in individual stocks that we believe are excessively valued relative to their underlying fundamentals, while maintaining such positions within a limited allocation.
Ultimately, we pursue a balanced investment approach that integrates top-down analysis of broader industry and market trends with bottom-up research focused on individual companies’ fundamentals and growth prospects. This integrated approach enables us to respond flexibly to changing market environments while maintaining a disciplined, long-term investment perspective.
❝
Blash Asset Management is an asset management company specializing in managing private investment funds in Korea
We invest across a broad range of asset classes, including equities, bonds, and derivatives, with a particular focus on portfolios primarily composed of listed Korean equities.
Our investment philosophy centers on identifying innovative industry-leading companies and high-growth businesses with strong long-term growth potential. Through disciplined, long-term investing, we aim to generate consistent positive returns on an annual basis and maximize compounded returns over time.
To systematically manage market risk, we may utilize short positions in index futures depending on market conditions. We may also selectively establish short positions in individual stocks that we believe are excessively valued relative to their underlying fundamentals, while maintaining such positions within a limited allocation.
Ultimately, we pursue a balanced investment approach that integrates top-down analysis of broader industry and market trends with bottom-up research focused on individual companies’ fundamentals and growth prospects. This integrated approach enables us to respond flexibly to changing market environments while maintaining a disciplined, long-term investment perspective.
Detail
Fund Type
Private Investment Fund, private equity, open-end, add-on
Investment Object
Outstanding shares, bonds, derivatives, etc
Risk Class
Class 1
Minimum
300 million KRW (*none for professional investors)
Expiration
None
Management Fee
1.0%
Carried Interest
20% of return
Redemption Fee
None
Settlement and Distribution
Maintenance or distribution per end of fiscal period