At Kivon Asset Management, we orchestrate custom wealth architectures to shield, multiply, and transmit institutional capital across fluctuating global frameworks.
Kivon Asset Management (KAM) operates at the nexus of high-conviction micro-analysis and grand macroeconomic modeling. In an era marked by shifting fiscal paradigms, we curate customized exposure frameworks to buffer and capture systematic alpha.
Our mandates strictly serve highly discretionary sovereign portfolios and private families who demand absolute confidentiality, high integrity, and analytical transparency.
Strict private structures protecting absolute partner identities and allocations.
We craft individual, non-standard solutions optimized for specific target returns.
"Stewardship is not merely the tracking of benchmarks; it is the resilient engineering of assets designed to capture quiet efficiencies while surviving the storm."
We deliberately isolate ourselves from conventional herd consensus. We design bespoke avenues of growth.
Targeting robust macro-growth trends across global technology leaders, centering heavy high-conviction portfolios in vital semiconductor and production pipelines.
Generating resilient yield mechanisms utilizing advanced derivative structures, protected options layers, and highly uncorrelated macro assets.
Leveraging deep pre-IPO networks to link East Asian capital routes directly with high-growth US and European software and space-tech enterprises.
Connecting premium sovereign capital routes directly with high-conviction growth corridors worldwide, seamlessly bridging regional liquidity with vital hubs of global innovation.
We maintain exclusive investment channels into emerging Tier-1 tech giants. Accessing late-stage venture opportunities, artificial intelligence infrastructure, and hyper-scale SaaS platforms allows us to drive premium uncorrelated returns.
Structured discretionary services designed specifically for ultra-high-net-worth families. We construct specialized strategic vehicles bridging institutional liquidity across Seoul, Singapore, and regional financial epicenters.
Partnering with premier European private banks to offer ultimate security and legal clearance. We integrate rigorous regulatory compliance (AML/KYC) with bulletproof estate continuity structures.
Securing co-investment channels with major Middle Eastern sovereign wealth funds. This grants exclusive access to participate in mega-scale international acquisitions and premium global infrastructure rollouts.
Capital defense is built as the central axiom of KAM. Every allocated cent is systematically ring-fenced at Tier-1 deposit institutions to guard against counterparty or institutional insolvency.
KAM은 그냥 재미로 만든 싸이트임을 밝힙니다
'절대 자금 보전'을 제1 연산 규칙으로 둡니다.
위탁된 파트너 자산은 당사 고유 계정과 법적으로 전격 격리(Ring-Fenced)되며,
세계 최고 등급의 신탁 금융기관(Custodian Banks)에 단독 위탁 예치되어 금융 환경 격변 시에도 안전을 온전히 보장받습니다.
All high-conviction strategies require synchronized multi-party clearance. 투자 의사결정 시 리스크 독립 감시역과 수석 운용역 간 서명 교차 검증제를 강제 시행합니다.
Continuous derivative protection layers are calibrated daily to eliminate tail risk. 옵션 보호막 칼라 설계를 상시 전개하여 블랙스완 발생 시에도 기저 보전 자금을 영구 보장합니다.
Complete balance insulation. 자산의 전격 신탁 격리 및 운용사 신용위험 완전 면역 보장.
Transparent sovereign checks. 연 4회 사설 외부 감사 위원회의 자산 투명성 임의 실사 전개.
Engineered for high survivability. 알고리즘 시스템 통제 가동 이래 원금 훼손 사고율 전무 기록.
Ultra military protection. 모든 파트너 자금 설계 데이터 독립 콜드스토리지 분리 암호 장벽 적용.
An impeccable reflection of our physical card asset. Hover or tap the card below to see the interactive front and back representation.
Adjust the allocations below to simulate potential growth projections over your structured timeline under KAM management parameters.
We invite private entities, endowments, and corporate principals to initiate high-discretion consults. Please reach through our direct executive channels.
Thank you for initiating communication. Investment Adviser Min HAMPI or a designated key partner will review your specifications and contact your line within 12 business hours.