Asset Data Disclosure

Regular Reports: We have a first-class investment professional team

Customized Services: Institutional investors can apply for data interfaces (real-time access to asset prices, risk indicators, trading records, etc.); Data types include: asset basic information, prices, returns, risk ratings, portfolio distribution, etc.

Financing Cooperation

Amount: US$100 million

Window Period: June-August 2025

Terms:

Financing cycle: 1 month;

Profit distribution: annual distribution;

Cost negotiation: flexibly determined based on market interest rates and credit conditions.

Customer Service

Exclusive channels for high-net-worth clients and institutions, providing personalized investment solutions and round-the-clock support.

Contact: Official website/direct contact with client managers (specific contact information needs to be added).

Contact Data Summary

Category Indicator Details
Asset Management Scale Cumulative Managed Funds US$1.2 billion
Active Funds Quantity/Scale 3 funds/US$60 million
Historical Returns Annual Return Rate 28.7%
Customer Retention Retention Rate >90%
Product Returns Fixed Income 9% annualized
Drawdown Control 15%~30% (max drawdown ≤20%)
Financing Demand Amount/Window Period US$100 million/June-August 2025

*This structure clearly highlights the company's core competitiveness, product characteristics and service value, facilitating investors to quickly locate key information

Contact Us

Contact Information

Address: 22/F, The Toy House, 100 Canton Road, Tsim Sha Tsui, Kowloon, Hong Kong