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Current Fund Performance

Eastwood Asset Management has shown outstanding yields and expected to establish various funds in 2021


  • (As of ‘24.03.31)
  • Fund Establishment Date Fund Asset Onshore/Offshore Price Index Invested Capital
    (KRW bn)
    NAV
    (KRW bn)
    2023 Yield Historical Yield
    Eastwood Public Offering
    Private Fund I
    2020.08.26 Mixed Asset Onshore 997.21 62.4 62.2 0.48 64.2
    Eastwood Public Offering
    Private Fund II
    2021.06.22 Mixed Asset Onshore 1,015.64 10.2 10.4 1.56 25.39
    Eastwood Public Offering
    Private Fund Ⅳ
    2024.04.19 Mixed Asset Onshore 1,000.51 160.0 160.1 0.05 0.05
    Eastwood KOVEN Public
    Offering Fund II
    2021.12.01 Mixed Asset Onshore 1,030.73 38.8 40.0 3.07 19.41
    Total - - - - 271.4 272.7 - -