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SK Hynix to Resume 3 Trillion Won Bond Investment via Asset Managers

Electronic Technology · Semiconductors · yonhap_finance · 2026-09-10

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SK Hynix is set to restart its bond market investments by allocating 3 trillion won to six major asset management firms, shifting away from its previous trust-based strategy.

What Happened

Investment Resumption: SK Hynix is preparing to re-enter the bond market with a 3 trillion won investment plan. The company has reportedly sent requests for proposals (RFPs) to six major domestic asset management firms to manage the funds.

Strategic Shift: Unlike its previous approach of using brokerage trusts, the company is opting for external asset management to enhance security and minimize market impact. This shift is intended to allow for quieter, more efficient accumulation of assets without drawing excessive market attention.

Target Assets: The investment is expected to focus on high-grade credit instruments, specifically credit card bonds issued by major banking groups with ratings of AA0 or higher. Notably, the company is considering extending the maturity profile of these investments from three to four years.

Market Outlook: While the 3 trillion won figure is smaller than historical levels, analysts believe it will provide a stabilizing effect on interest rates. If the scope of the investment expands to include secondary market trading, it could serve as a significant positive catalyst for the bond market.

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