Investment Management System
Investment Monitoring Framework Process
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Portfolio Management
Investment Team
- Compliance with investment plans
- Review of regulatory and guideline-based investment limits
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Risk Management
Risk Management Team
- Risk management by type (market, credit, liquidity)
- Setting and monitoring of position, loss, and risk limits
- Calculation and analysis of risk metrics
- Fund performance evaluation and performance attribution
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Compliance
Compliance Team
- Monitoring of compliance with all internal control standards: Ongoing review of compliance with applicable laws, terms and conditions, and special agreements
- Pre- and post-monitoring of daily operations: Proactive management of legal risks and review of operational errors, including corrective actions and confirmation of their implementation
Risk Management Process
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Establishing risk policies and procedures
Risk Management Committee
- Formulating and revising risk management policies and overall risk levels
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Portfolio Risk Measurement
- Risk assessment for new funds and products
- Identification and quantitative measurement of key portfolio risks
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Portfolio Risk Evaluation
- Comparing current risk/return levels with established targets
- Analyzing risk factor contributions
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Portfolio Risk Reporting
- Convening relevant parties and implementing follow-up actions, including measures to prevent recurrence
- Daily risk reporting
Internal Control Review Process
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Establishment of the Internal Control System
- Enactment and Revision of the Internal Control System
- Establishment of the Regulatory Compliance Policy
- Development of the Regulatory Compliance Programs
- Compliance Oversight and Result Reporting
- Establishment and Operation of the Responsibility Map
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Monitoring and inspection
- Monitoring of the operation of the internal control system
- Reporting unlawful or improper activities to the Audit Committee, requesting sanctions, and requiring corrective and remedial measures for identified issues and deficiencies
- Collecting information related to the internal control system
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Pre- and post-review of daily operations
- Prior review of the establishment, amendment, or repeal of internal rules, operational policies, and related procedures
- Prior review of agenda items to be submitted to the Board of Directors
- Prior review of new business initiatives
- Prior review of external documents and marketing materials
- Ongoing monitoring to ensure compliance with internal control requirements
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Protection of clients, shareholders, and stakeholders
- Handling customer complaints and reviewing the adequacy and appropriateness of public disclosure activities
- Monitoring and supervising the adequacy of investor protection measures
- Reviewing and preventing conflicts of interest
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Support and advisory services related to the internal control system
- Providing guidance to the Board of Directors, management, and relevant departments on the operation of the internal control system
- Regular reporting to management and the Internal Control Committee on the establishment and implementation of the internal control system
- Advising employees on regulatory compliance and operational matters