ASIA AURORA INVESTMENT CO., LIMITED

Investment Portfolio
In 2021, the world economy will resume growth, the global stock market will fluctuate and rise, but the inflation level will rise rapidly, asset valuations will remain high, market styles will change frequently, regional and industry differentiation will be obvious, geopolitical risks will rise, and the global supply chain will be severely hindered. The environment is complex and changeable.
In the face of severe external challenges, ASIA AURORA INVESTMENT CO., LIMITED maintained its strategic determination, was aggressive and innovative, led by the Company's five-year strategic plan, highlighted the concept of two business segments, public market and non-public market investments, optimized the structure of external investments and the division of responsibilities, and steadily carried out investment activities. Firstly, it continues to optimize asset allocation and portfolio construction, while strengthening dynamic management of asset allocation and continuously enhancing the quality and resilience of the total portfolio; secondly, it continues to improve the management of public market investments and focus on enhancing professional and institutionalized investment; thirdly, it steadily carries out non-public market investments through global network resources; fourthly, it actively innovates the way of outward investment and continuously optimizes the post-investment management of projects.