
We build customized global portfolios, blending traditional 60/40 formula with a variety of alternative assets. This multi-strategy approach seeks optimal risk diversification and superior risk-adjusted returns, aiming for long-term capital growth.


Low correlation to traditional 60/40 portfolio, ranging from VC to strategies including but not limited to buyout, secondaries, GP stake, which allow you to enjoy the tailwind of disruptive technology breakthrough and capture extra alpha through cycles.

Focus on mid-market investment opportunities that have tighter governance control and greater spreads. A decent cash yield product in an ultra fast growing segment to consider.

Real asset like infrastructure provides greater level of inflation hedge and downside protection. Priorities are given to energy transition, data centre, senior housing and school refurbishment.

Digital asset itself stands as an asset class, already too big to be ignored. A balanced approach should be taken towards both venture and liquid investment opportunities, overlaying extra layer of risk management mechanism.

Intentionally overweighting multi-pm strategy, aiming for low net exposure, high sharp ratio and limited drawdown.

To achieve capital appreciation, while maintaining optimal asset liquidity, through tactical ETF allocation.

Team members average over 20 years investment experience, and collectively managed over $100bn assets. Having gone through multiple market cycles, we have built strong professional reputation and track record.

Core members come from top global platforms, i.e. mutual funds, asset managers, investment banks and insurance AMCs. We aim to provide institutional grade service and product to you.

Over the years, we have accumulated an invaluable database of global top performing funds, leading to optimal manager selection and the most appropriate portfolio construction for you.









Your Strategic Global Asset Allocation Journey Starts Here.
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