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"Globalization" has always been one of important goals for Lion Fund. To expand international business, Lion Fund established international business department and set up a professional team for global investment. Until now, the foreign exchange quota of Lion Fund is 1 billon dollars. LFM Global Investment (Hong Kong) Company, Limited ("LFM HK") was incorporated in Hong Kong on 31 May 2012. LFM HK is licensed for Type 1 (Dealing in securities), Type 4 (advising in securities) and Type 9 (asset management) regulated activities by the Securities and Futures Commission of Hong Kong. LFM HK serves as the global investment and business platform for the parent company, Lion Fund Management Co., Limited ("Lion Fund"), offering overseas investment products as well as to provide better client service to its international clients. We have been granted the license of RQFII (RMB Qualified Foreign Institutional Investors) and quota in 2013.

Lion Fund lay emphasize on innovation and act as a pioneer in Chinese capital market. Lion Fund created Fund specialize invest in gold, oil &gas energy, REITs early in China to broaden the investment channel for Chinese clients.

   
This Fund mainly invests in overseas gold ETFs backed up by physical gold, which linked closely to the gold price trend, and provides the investors with a set of gold investment tools that may effectively diversify the risks. More than 80% of the asset in this Fund would invest in gold ETFs backed up by physical gold and more than 5% of the asset would invest in cash or government bonds to mature within one year.   The Fund invests in selected Funds of the energy sector such as oil and natural gas (including ETFs) and company stocks around the globe with the portfolio risks under effective control to achieve long-term steady appreciation of the Fund assets for the investors. This Fund is a Fund of Fund. The Fund in which the Fund invests account for more than 60% of the assets of the Fund, the energy sector Funds such as oil and natural gas Funds in which the Fund invests account for no less than 80% of the assets invested in the Funds, and the cash or government bonds to mature within one year in which the Fund invests account for no less than 5% of the NAV. Energy sector ETF of the energy sector Fund of oils and natural gas (ETF that keeps track of the energy sector index) and energy sector stock Funds (including index Fund that keeps track of the energy sector index and active Funds that invest more than 80% of the assets in company stocks of the energy sector)   This Fund mainly invests in real estate depository receipts, and pursues long-term steady appreciation of the Fund exceeding the performance benchmark through active asset configuration and selected investment with the investment risks under strict control. The real estate investment trusts in which this Fund invests accounts for 60%-95% of the assets of the Fund; the cash or government bonds to mature within
Risk Hints: Fund investment is risky, investors should be cautious with investment. Please read Fund contract and prospectus carefully before purchase.
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