Fund Creation Group Co.,Ltd. [3266.T]
TOKYO, Jun 12 (Pulse News Wire) – Fund Creation Group CO.,LTD. (3266.T) disclosed its asset management holdings for the month of May 2026.
As of May 2026, the total entrusted assets managed by the group under asset management contracts amounted to 20,370. For the fiscal year ending November 2026, the group reported the following monthly entrusted asset balances: | Month | Amount | |-------------|--------| | February | 20,005 | | May | 20,370 | Previously, the entrusted asset balance included solar power fund assets since May 2014, accommodation-related fund assets since August 2018, FC Business Fund 1 assets since May 2021, and FC Vehicle Fund assets since November 2022.
Additionally, the group includes assets from real estate funds managed by the company as chairman and those from the crowdfunding platform “FC FUNDING.” The entrusted asset balance represents the total value of assets serving as benchmarks for asset management agreements signed with Special Purpose Companies (SPCs).
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