Our investment philosophy is built on
the belief that there is no single trading strategy that can win in all market conditions.
To align with market conditions, whether it be sideway, uptrend, or downtrend, we have designed a thematic fund strategy. Our thematic funds are based on both qualitative and quantitative analysis, with our fund managers conducting a thorough analysis of the investment universe of an asset based on fundamental, macroeconomic, and megatrend factors. From there, we select strategies that match the current market conditions, with a focus on quantitative analysis. We do not rely on back-testing as we believe that a strategy that may work in one market condition may not be effective in another.