Multi-strategy approach (credit, interest rate, and macro) targeting high-yield bonds, investment-grade bonds, and government debt.
Focus on long-term fundamentals, sector rotation, and event-driven strategies across Hong Kong, Mainland China, and U.S.-listed equities.
Data-driven statistical models and algorithmic execution for convertible bonds, commodity futures, and more.
Targeting high-growth sectors and special opportunities (e.g., crossover, pre-IPO stages) for alpha generation.