To obtain attractive risk-adjusted returns with quantitative model and strict risk controls.
Provide asset allocation service for high-net-worth clients with liquid assets exceeding US$10mn.
Combined the quantitative research and risk management analysis, our investment strategies are to obtain a long term sustainable returns across all market.
Our investment strategies include:
We perform strategic and tactical investment strategies under most suitable product providers and platforms based on clients’ need.
We assist our clients to setup and manage their own offshore fund to improve efficiency and enhance client privacy.
Provide comprehensive analysis and investment advice that fit client’s investment objective and risk appetites.
The product providers and platforms can be selected by clients to deliver investment strategy.
Our offshore fund platform can provide segregated portfolio. Each Fund manager can set up their fund on the platform with independent administrator, operator, balance sheet and NAV.
We help fund managers to focus on investment management and run a fund in a cost-effective and time-efficient way.
External Asset Manager (EAM)
Total solutions for fund managers to set up and operate your own funds.
We offer tailor-made portfolio management based on clients’ investment objectives and risk appetites.