Company Overview
Hang Ky Investment Group (HKIG Jsc) is a multi-sector investment holding company headquartered in Vietnam. We operate with a governance-first philosophy, seeking to create lasting value across diverse industries while maintaining the highest standards of transparency and integrity.
Legal Name (Vietnamese)
CÔNG TY CỔ PHẦN TẬP ĐOÀN ĐẦU TƯ HẰNG KỶ
English Name
Hang Ky Investment Group Joint Stock Company
Abbreviation
HKIG Jsc
Trade Name
Hang Ky Investment Group
Founded on Absolute Trust
A Strategic Investment Partner
Hang Ky Investment Group was founded with a clear mission: to build a diversified investment portfolio that creates sustainable value for our stakeholders while upholding the highest standards of corporate governance.
We invest across six strategic pillars—Fashion, Technology, Import & Export, Governance & Management, Marketing, and Real Estate—selecting opportunities that align with our long-term vision and ethical standards.
Our approach combines rigorous due diligence, active portfolio management, and hands-on operational support to help our investee companies achieve their full potential.
Multi-Sector Portfolio
Diversified across six strategic pillars
Strategic Partnerships
Long-term alignment with portfolio companies
Risk Management
Rigorous due diligence and monitoring
Compliance Excellence
Governance-first approach
How We Work
Our investment process is built on transparency, discipline, and a commitment to creating value for all stakeholders.
Identify
We identify high-potential investment opportunities through rigorous market analysis and our extensive network.
Evaluate
Comprehensive due diligence ensures each investment meets our standards for governance, growth potential, and ethical operations.
Partner
We work alongside management teams to implement best practices, strengthen governance, and accelerate sustainable growth.
Protecting Value Through Discipline
Our risk management framework is integral to every investment decision. We employ a multi-layered approach to identify, assess, and mitigate risks across our portfolio.
- Comprehensive due diligence process
- Regular portfolio monitoring and reporting
- Diversification across sectors and geographies
- Strong governance frameworks at portfolio companies
- Compliance with local and international regulations
Our Commitment
Portfolio companies meeting governance requirements
Regular reporting to stakeholders
Adherence to local and international regulations