KB Asset Management
Overview
KB Asset Management, established in 1988, serves as the investment arm of KB Financial Group, the largest financial conglomerate in Korea. The firm offers a wide range of investment products, including traditional assets like equity and fixed income, as well as alternative investments such as infrastructure, real estate, non-performing loans, and venture capital. These products are available to both onshore and offshore investors, catering to diverse client needs. The company's investment strategy encompasses various asset classes, including fixed income, equity, real estate, private equity, hedge funds, infrastructure, commodities, crypto, distressed and special situations, ESG and impact investing, and venture capital. KB Asset Management focuses on multiple investment stages, from seed and early-stage investments to growth, late-stage, pre-IPO, buyout, turnaround, and distressed situations. Geographically, the firm has a presence in South Korea, the United States, China, Vietnam, and Singapore, reflecting its global investment approach. With assets under management totaling approximately USD 106.69 billion as of December 29, 2023, KB Asset Management has demonstrated significant growth over the years. The firm's investment philosophy emphasizes delivering financial services that contribute to a happier life and a better world, aiming to become a trusted financial partner for a lifetime through world-class talent and bold innovation. This approach has enabled KB Asset Management to build a diverse portfolio and establish a strong presence in the global investment landscape.
Investment Focus
- Open to both onshore and offshore investors
- Offers products across various asset classes and investment stages
- Geographical focus includes South Korea, United States, China, Vietnam, and Singapore
Portfolio Companies
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Unlock full contacts →Frequently asked questions about KB Asset Management
What sectors does KB Asset Management invest in?
KB Asset Management invests in Financial Services, Technology, Healthcare, Energy, Consumer Goods and Industrials, and is based in 시흥시, South Korea. KB Asset Management is listed as a institutional investor in the ConnectSafely investor database.
What stage does KB Asset Management invest at?
KB Asset Management backs companies at Seed, Early Stage, Series A, Series B, Growth and Late Stage, writing cheques of 1M - 1B.
Which regions does KB Asset Management invest in?
KB Asset Management invests across United States, Singapore, China, South Korea and Vietnam.
Who are the partners at KB Asset Management?
Team members listed for KB Asset Management include Sehee Kim (Head of Global FoFs Division) and Dongjoo Han (Non Executive Director).
What companies has KB Asset Management invested in?
KB Asset Management's portfolio includes Samsung Electronics, POSCO, Shinhan Financial Group, Samsung Biologics, Hyundai Motor Company, SK Hynix, LG Chem and Celltrion.
How do I contact KB Asset Management?
KB Asset Management's contact details — including phone and LinkedIn — are listed in the ConnectSafely investor database, along with its website and the LinkedIn profiles of its partners.
Last updated · Source: ConnectSafely investor database