Eastern Economic Corridor (EEC)

Risk and Return Potential Investing in real estate carries specific risks, including economic downturns, interest rate fluctuations, and changes in government regulations. However, KT-Property SSF mitigates these risks through portfolio diversification and active fund management. The fund targets a balance between capital appreciation and income g

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K-GPROP-A(D) faces

Risk Management As with any real estate investment, K-GPROP-A(D) faces risks such as market fluctuations, interest rate changes, and economic downturns. However, the fund implements risk management strategies, including: Diversification across multiple property types and regions to mitigate market volatility. Active portfolio adjustments in

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