RAISED IN ASIA, POSITIONED GLOBALLY Our roots are firmly embedded in the dynamic and strategically important markets in which we invest, giving us an extensive network of the industry’s leading emerging market investment professionals spanning the globe. Part of our success has been driven by our extensive on-the-ground, research driven capabilities centered on major emerging economies. Our Asian heritage and presence is testament to our commitment to the region. Our offices collaborate across borders to generate best in-class investment ideas and leverage research insights to deliver quality financial products to our investors. At Mirae Asset Global Investments, we live our investments. Unique Asian Heritage Extensive Investment Capabilities We Live Our Investents Founded in Asia, we have expanded our geographical presence to 12 global offices since 1997 We have become one of the world's largest emerging market equity managers* * Source: Investment & Pensions Europe, November 2017 We have over 160 investment professionals based around the world Nearly 100 investment professionals in7 offices across Asia Team-based collaborative approach both locally and across regions The Mirae Asset investment teams are culturally connected to the Asian and EM story Our on-the-ground presence and research coverage truly signify that we live our investments VIEW OUR CORPORATE VIDEO CORE STRENGTHS Global Coverage, Local Knowledge Found in 1997, Mirae Asset has a global network, enabling us to position ourselves around the world to capitalize on market-specific investment opportunities efficiently. Diversified Investment Platform Mirae Asset is dedicated to providing innovative products and solutions across major equity fixed income, ETF and alternative asset classes, delivered through a diverse set of investment vehicles. An Independent Asset Management Business At Mirae Asset, asset management is at the heart of our business and it enables us to focus on what we are best at. We are not tied to any bank-dominated financial groups and our ability to formulate differentiated, leading investment products is not constrained by any responsibility to affiliates. On-the-Ground, Research-driven Investing Our extensive research capabilities and presence across the emerging markets enable us to formulate views that set us apart from the pack. Furthermore, our size and scale gives us access to best in class market data and insight that we utilize to constantly evaluate our own independently formed investment decisions. Defining Risk Factors Monitoring & Communication Reporting & Decision-making Define risk factors for measuring market risk and establish various risk controls Examine and set up investent guidelines Analyze risk factors at product develop-ment stage Monitor risk factors and indicators Conduct performance analysis andrisk assessment Communicate with investment teams and senior management Report risk and performance issues Monitors implementation of the RiskManagement Committee decisions Request a breach report if required.