# Mirae Asset Global Investments (Hong Kong) Limited

Mirae Asset Global Investments (Hong Kong) Limited is an Asset Manager based in Hong Kong, Hong Kong.

## Overview

- **Organization type:** Asset Manager
- **Headquarters:** Hong Kong, Hong Kong
- **Region:** Asia
- **Address:** Hong Kong, Hong Kong, China
- **Assets under management:** Undisclosed
- **Website:** am.miraeasset.com.hk
- **LinkedIn:** https://www.linkedin.com/company/mirae-asset-global-investments-hong-kong

## Regulatory record

- **CRD number:** 152807
- **SEC file number:** 801-71088
- **Registration status:** Registered
- **Reports private funds:** No
- **IAPD record:** https://adviserinfo.sec.gov/firm/summary/152807

## About

Founded in December 2003, Mirae Asset Global Investments (Hong Kong) Limited is an asset management arm and the first overseas office of the Mirae Asset Global Investments Group.

## Sectors

- Real Estate
- Infrastructure
- Private Credit
- Hedge Funds

## Questions

### Who runs investment decisions at Mirae Asset Global Investments (Hong Kong) Limited?

Investment decisions at the Hong Kong unit are made by a team of portfolio managers and analysts led by the firm's Hong Kong-based CEO, currently Michael Jeong (per Mirae Asset Financial Group's organizational announcements, 2023). The overall group's global investment committee in Seoul sets strategic direction, while regional teams execute specific mandates.

### How does Mirae Asset Global Investments (Hong Kong) source proprietary deal flow?

The firm sources deals through Mirae Asset Financial Group's extensive network of financial subsidiaries, including its brokerage, insurance, and banking arms across Asia. The Hong Kong office also participates in consortium investments with other Asian institutional investors and leverages relationships built through the group's global research centers.

### Which sectors does Mirae Asset Global Investments (Hong Kong) explicitly avoid?

The firm does not publicly disclose explicit sector exclusions, but its investment focus is concentrated on technology, financial services, and consumer discretionary sectors in Asia. It has limited exposure to energy and natural resources compared to other global asset managers, based on reported portfolio compositions.

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Last updated: 2026-08-10T23:49:37.812Z

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