We have the ability to single out these attractive opportunities by embarking on our market leading investment strategy & research methodology. Alternatively, we target distressed sellers, underutilized assets, undervalued assets, and off-market deals. We continue to seek attractive opportunities for the Fund where net operating income can be achieved through a fundamental repositioning of the asset by way of strategic capital improvements, program changes, improved on-site operations, and more.
We have made good use of our enterprise resources to build up a comprehensive global network covering areas which include but not limit to United States, Hong Kong SAR, Mainland China and other countries. These stakeholders in our wide network include buyers, sellers, investors, management companies, professionals, and more. This network is another competitive advantage over our competitors in the long term.
In terms of specific investment opportunities valuation, we formulate a market leading qualitative & quantitative system to evaluate all upside & downside risks. All investment plans are prudently & meticulously devised, with key drivers & sophisticated, quantifiable data analysis.
To increase our quality control, we, as a valued purchaser in the long position, apply comprehensive management and superintend each project specific business plan, not only to increase our net revenue at the same time target to maximize our return. We lay out the ground works to prepare for asset disposal eventually. Our highly controlled procedure align with the strategic investment plan in order to minimize volatility risk through fluctuations throughout all business cycles. Besides, our projects could generate positive cash flow, helping to fight against the market risk in the economic cycle.