As a global investment firm, we cultivate investment methodologies in different markets to help our clients navigate opportunities across asset classes.
Global macro rates & credit strategy. Capturing cross-market (onshore/offshore) opportunities driven by G2 dynamics, using hold-to-maturity, spread trading, and FX tools.
Cross-market (A/H/US) fundamental investing. Targets proven performers in growth industries via medium-to-long term analysis. Risk-managed position sizing.
Global macro trend strategy. Expressing views via global ETFs/derivatives through long/short/arbitrage positions for absolute returns.
Harbour of wealth and financial wisdom