Page 45 - Annual Report 2011
P. 45
Investment Policy
Mahidol University has a policy to change a form of investment for its member organizations. The
University previously asked these organizations to invest in the University’s fund (MUOP) but now
the University has changed to specify a proportion of investment. The MU Risk Management
Center has been assigned to manage CMMU’s investment capital and seeks profits by offering
alternative investment possibilities. The CMMU Executive Committee decided to select the
category A3 for CMMU’s investment portfolio. This comprises proportions of investment as follows:
• 60% in bonds issued by the government or state enterprises and guaranteed by the Ministry
of Finance
• 37% in corporate bonds issued by organizations in private sector or by saving cooperatives
• 3% in mutual fund of financial institutions
The Mahidol University Risk Management Center is responsible for considering and managing the
investment and paying the College quarterly dividends.
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Annual Report
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