Our Portfolio

Combination
We believe that no single manager is capable of managing funds for different asset class under all market condition. By diversifying asset to different funds, we can  benefit from the combined intelligence of multi fund managers. In addition, portfolio bias and number of human error can be effectively eliminated under this approach.
Sensitivity
Given full discretion on portfolio management, we can respond quickly and sharply to market change. This allow us to take advantage from market risks and opportunities
Diversification
Given the access to a variety of mutual funds, individual stocks, bonds and commodities, we can achieve  strategically diversified solution across sectors and regions to meet clients' objectives.
Risk Management
Through business modelling  and financial analysis, we ensure our tailored portfolios are developed to manage risk according to clients' investment objective. Moreover, we pay heed to monitoring asset class selection, reviewing funds performance and evaluating fund managers on regular basis.