Our quantitative trading and research team acts as a top market maker with strong market access, employing diverse trading strategies and advanced architecture to consistently achieve superior returns and demonstrate an effective investment approach across various market cycles
Asset management
Strong quantitative trading expertise and broad access to liquidity lead to long-term sustainable performance for our clients.
Consistent historical performance
We provide consistent risk-adjusted performance via our strong algorithm research and execution with good sharpe ratio.
Stringent risk control
Our robust risk control strategies have proven to deliver resilient returns, exhibiting uncorrelated performance with broader market movements for over three years.
Diversified trading strategies
Experience our composite trading strategies, unlocking the potential of optimized risk-adjusted performance.
Robust security to safeguard on asset
Third-party custodian service is provided for our asset management products. Separation of custodian, execution and settlement mitigates the counterparty risk and ensure that client’s asset are stored in the independent cold storage.
Transparency on asset allocation and performance
External fund administration is engaged to provide the audit on the allocation and performance of the asset.