{"id":57,"date":"2013-10-02T17:03:43","date_gmt":"2013-10-02T08:03:43","guid":{"rendered":"http:\/\/eng.ta.kldev.kr\/?page_id=57"},"modified":"2017-03-22T09:21:46","modified_gmt":"2017-03-22T00:21:46","slug":"risk-management","status":"publish","type":"page","link":"https:\/\/eng.trustonasset.com\/?page_id=57","title":{"rendered":"Risk Management"},"content":{"rendered":"<div class=\"page-intro01\">\n<p class=\"f125 ma-t10 bold\" style=\"text-align: justify\">Truston\u2019s Risk Management and Compliance Team is responsible for managing all firm-wide risks. The Team should monitor regularly, so that Truston adheres to strict investment risk management control processes related to the monitoring of investment performance, compliance to investment objectives and investor guidelines<\/p>\n<div class=\"w100pro bd-t ma-t10\"><\/div>\n<p class=\"f125 ma-t10 bold\">1. Performance Evaluation<\/p>\n<p class=\"pa-l15 green-dot ma-t10\">We conduct performance and risk-return analysis on a daily, weekly, monthly, quarterly and yearly basis.<\/p>\n<p class=\"pa-l15 green-dot ma-t05\">We monitor risk metrics such as Tracking Error, Information Ratio, Volatility, Sharpe Ratio and so on.<\/p>\n<p class=\"pa-l15 green-dot ma-t05\">On a monthly basis, we analyze the performance attribution by decomposing the excess return into asset allocation effect, sector allocation effect and stock selection effect.<\/p>\n<p class=\"f125 ma-t20 bold\">2. Self-Regulation and Ethics<\/p>\n<p class=\"pa-l15 green-dot ma-t10\">In addition to following relevant laws and regulations, we have implemented a strict set of internal guidelines in order to protect the interest of our clients. These guidelines cover matters such as entertainment with clients, confidential information, and compensation from other activities. Employees are required to report periodically to the compliance officer to ensure that no rules have been broken.<\/p>\n<p class=\"pa-l15 green-dot ma-t05\">In conjunction with the Risk Management Team, the Compliance Officer monitors activities for the potential breach of laws and regulations or internal misappropriations through the trading system and fund administration system.<\/p>\n<p class=\"f125 ma-t20 bold\">3. Conflict of Interests<\/p>\n<p class=\"pa-l15 green-dot ma-t10\">There is a central trading desk (trading team), it is separated from portfolio managers.<\/p>\n<p class=\"pa-l15 green-dot ma-t10\">Trading information is kept from research analysts and staff dealing with proprietary investments.<\/p>\n<p class=\"pa-l15 green-dot ma-t05\">Employees are prohibited from trading stocks in their own accounts.<\/p>\n<p class=\"f125 ma-t20 bold\">4. Risk management process<\/p>\n<p class=\"pa-l15 green-dot ma-t10\">The Head of the Risk Management and Compliance Team report the current risk status of the portfolios to the Risk Management Committee, whose meetings are held as and when needed.<\/p>\n<div class=\"w30pro-v fl-left ma-t10 ma-r05pro\">\n<p class=\"w100pro center bg-blue pa-t10 pa-b10 f12 bold\"><span class=\"in-line\">Pre-trade<\/span> <span class=\"in-line\">Risk<\/span> <span class=\"in-line\">Management<\/span> <span class=\"in-line\">and<\/span> <span class=\"in-line\">Compliance<\/span> <span class=\"in-line\">Check<\/span><\/p>\n<\/div>\n<div class=\"w30pro-v fl-left ma-t10 ma-r05pro\">\n<p class=\"w100pro center bg-purple pa-t10 pa-b10 f12 bold\"><span class=\"in-line\">Post-trade<\/span> <span class=\"in-line\">Risk<\/span> <span class=\"in-line\">Management<\/span> <span class=\"in-line\">and<\/span> <span class=\"in-line\">Compliance<\/span> <span class=\"in-line\">Check<\/span><\/p>\n<\/div>\n<div class=\"w30pro-v fl-left ma-t10\">\n<p class=\"w100pro center bg-green pa-t10 pa-b10 f12 bold\"><span class=\"in-line\">Performance<\/span> <span class=\"in-line\">Attribution<\/span> <span class=\"in-line\">and<\/span> <span class=\"in-line\">Risk-Return<\/span> <span class=\"in-line\">Analysis<\/span><\/p>\n<\/div>\n<\/div>\n<div class=\"clear\"><\/div>\n<p class=\"pa-l15 green-dot ma-t10\">The Risk Management and Compliance Team are responsible for identifying and controlling risks. In other words, the team monitors all potential risks on a firm-wide scale. It includes operational risk, financial risk, technological risk, compliance risk and so on.<\/p>\n<p class=\"pa-l15 green-dot ma-t10\">The Risk Management and Compliance Team perform risk control and monitoring in a diverse set of the risk management systems.<\/p>\n<table class=\"ma-t10 normal\" border=\"0\" width=\"100%\" cellspacing=\"0\" cellpadding=\"0\">\n<tbody>\n<tr>\n<th class=\"w40pro pa-t05 pa-b05 center \">Risk Factor<\/th>\n<th class=\"w60pro pa-t05 pa-b05 center \">Risk Management<\/th>\n<\/tr>\n<tr>\n<td class=\"center green bold\">Market Risk\/ Liquidity Risk<\/td>\n<td class=\" pa-t05 pa-b05\">\n<p class=\"pa-l20 before-dot\">Risk-adjusted return analysis<\/p>\n<p class=\"pa-l20 ma-t05 before-dot\">Excess return analysis<\/p>\n<p class=\"pa-l20 ma-t05 before-dot\">Monitor minimum cash and equivalents compared to the NAV<\/p>\n<p class=\"pa-l20 ma-t05 before-dot\">Post compliance check more than 30% of the 20-day average daily trading volume<\/p>\n<\/td>\n<\/tr>\n<tr>\n<td class=\"center green bold \">Counterparty \/ Credit Risk<\/td>\n<td class=\" pa-t05 pa-b05\">\n<p class=\"pa-l20 before-dot\">Broker allocation policy<\/p>\n<p class=\"pa-l20 ma-t05 before-dot\">Investing only in qualified investment assets<\/p>\n<p class=\"pa-l20 ma-t05 before-dot\">Strictly prohibit except investment universe<\/p>\n<\/td>\n<\/tr>\n<tr>\n<td class=\"center green bold \">Operational Risk\/Legal Risk<\/td>\n<td class=\" pa-t05 pa-b05\">\n<p class=\"pa-l20 before-dot\">Daily Operation Check List<\/p>\n<p class=\"pa-l20 ma-t05 before-dot\">Daily NAV Reconciliation<\/p>\n<p class=\"pa-l20 ma-t05 before-dot\">Daily Compliance Report<\/p>\n<\/td>\n<\/tr>\n<\/tbody>\n<\/table>\n","protected":false},"excerpt":{"rendered":"<p>Truston\u2019s Risk Management and Compliance Team is responsible for managing all firm-wide risks. The Team should monitor regularly, so that Truston adheres to strict investment risk management control processes related to the monitoring of investment performance, compliance to investment objectives and investor guidelines 1. Performance Evaluation We conduct performance and risk-return analysis on a daily, [&hellip;]<\/p>\n","protected":false},"author":1,"featured_media":0,"parent":16,"menu_order":0,"comment_status":"open","ping_status":"open","template":"","meta":{"footnotes":""},"class_list":["post-57","page","type-page","status-publish","hentry"],"_links":{"self":[{"href":"https:\/\/eng.trustonasset.com\/index.php?rest_route=\/wp\/v2\/pages\/57","targetHints":{"allow":["GET"]}}],"collection":[{"href":"https:\/\/eng.trustonasset.com\/index.php?rest_route=\/wp\/v2\/pages"}],"about":[{"href":"https:\/\/eng.trustonasset.com\/index.php?rest_route=\/wp\/v2\/types\/page"}],"author":[{"embeddable":true,"href":"https:\/\/eng.trustonasset.com\/index.php?rest_route=\/wp\/v2\/users\/1"}],"replies":[{"embeddable":true,"href":"https:\/\/eng.trustonasset.com\/index.php?rest_route=%2Fwp%2Fv2%2Fcomments&post=57"}],"version-history":[{"count":20,"href":"https:\/\/eng.trustonasset.com\/index.php?rest_route=\/wp\/v2\/pages\/57\/revisions"}],"predecessor-version":[{"id":608,"href":"https:\/\/eng.trustonasset.com\/index.php?rest_route=\/wp\/v2\/pages\/57\/revisions\/608"}],"up":[{"embeddable":true,"href":"https:\/\/eng.trustonasset.com\/index.php?rest_route=\/wp\/v2\/pages\/16"}],"wp:attachment":[{"href":"https:\/\/eng.trustonasset.com\/index.php?rest_route=%2Fwp%2Fv2%2Fmedia&parent=57"}],"curies":[{"name":"wp","href":"https:\/\/api.w.org\/{rel}","templated":true}]}}