另類投資策略概覽
從股票長短倉以至絕對回報債券基金、波幅管理商品及風險溢價,我們的投資經理都能提供一系列另類投資策略方案。
Services
Find out more about the full scope of our solutions offering
Funds
Search for funds, documents, and notifications
Funds by asset class
Search for funds within each asset class
Funds by investment manager
Find funds run by each of our affiliated investment managers
Insights by asset class
Gain our perspectives and investment thinking across each asset class
News and insights
Get deep insight and expert views on the forces shaping financial markets
Who we are
Find out more about who we are and how we might be able to help
Investor sentiment
Discover the latest insights from the center for investor insight
基礎投資知識告訴我們,任何穩妥投資策略的重點應在於實現真正的分散投資,但要在市場上物色到與別不同的投資經理卻非易事。因此,我們的專家團隊可為您提供協助。從全球宏觀、絕對回報及股票長短倉管理,以至波幅及風險溢價策略,無論您面對的是哪一種分散投資方面的挑戰,我們都深信可透過豐富的專業知識為您提供協助。
從股票長短倉以至絕對回報債券基金、波幅管理商品及風險溢價,我們的投資經理都能提供一系列另類投資策略方案。
|
|
|
|
|
|---|---|---|---|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
所有投資均涉及風險,包括資本虧損風險。
目標回報/風險純屬假設,並不代表以客戶資產進行實際交易的表現,概不保證策略將可實現目標表現。