GCM offers highly attractive financial and investment products through asset liquidation, making use of a broad and established network within the Japanese capital markets. GCM’s focus on providing structured products that conform to high risk tolerance benchmarks, and proven investment protocols of each client, are always of paramount importance. Assets subject to liquidation, include any kind of asset or business, tangible or intangible but must adhere to internal cashflow positive imperatives. GCM selects the optimum assets through a financial approach based on economic and financial conditions, economic market trends, and the needs of the originator (current asset holder).
GCM’s financial investment structures and investment products optimise risk/return in the form of the fund applying various collective investment schemes, such as anonymous or investment business limited partnerships.