Karibu Ltd.(hereinafter referred to as "Our Company") has launched a service that allows anyone to make long-term, internationally diversified investments based on the idea of "identifying which countries, regions, and industries around the world will grow, supporting their growth, and redistributing profits by making it possible for everyone in the world to participate."
2-1 Basic Policy for Selection of Investment Portfolio
The Fund will mainly invest in real estate in Asian countries that are experiencing
remarkable economic growth, and will also diversify its investments in industries that support
the growth of these countries and in agriculture, which is essential for daily life. We manage
our assets with the objective of maximizing profits by taking advantage of growth.
2-2 Portfolio Construction
(1)Test from small amounts when building a portfolio
(2)Up to 10% of total funding after at least 1 year of performance, with a maximum of 1-3
years of progress
(3)After that, depending on performance, there is a possibility of investing more than 20% ofthe funds.
*This does not apply, however, to urgent or high-risk reward projects.
Our Company discloses various information, including asset management methods and
theories, to ensure that customers can entrust their valuable assets with peace of mind. We will disclose as much information as possible to our investors, except for information related to the privacy of investee companies and customers.
Our Company will achieve optimal asset allocation based on the investment philosophy outlined in this document and the selection methods of investment targets demonstrated in separate documents, leveraging past success stories.
Furthermore, by continuously monitoring and maintaining the portfolio, we aim to contribute to the long-term growth of our customers' assets. The methods described in this document are current as of the time of writing, but we will continue to work on improvements to ensure that our customers' long-term asset management will be more fruitful.