Investment Management - , ,
TCG is an asset management and specialty advisory firm established in 2003. The founding family of TCG has a background in the chemicals and electronics industries dating back to 1918 in Shanghai, 1950 in Hong Kong and 1970 in Taipei. TCG's investment mandate from inception has been to identify investments with superior risk adjusted returns that are also liquid and uncorrelated to major asset classes. The firm's Celera division was formed in 2012 to consolidate and spin out the markets, technology, and business infrastructure of TCG.TCG has a diverse team located across Shanghai, Hong Kong, Bangkok, Amsterdam, Toronto, and Chicago. Their industry experience ranges from specialist financial sectors such as options and ETF market making and non-financial sectors such as energy consulting. The team members are organised into smaller teams focused on the following 3 disciplines with each project having a responsible team member:1. Financial Markets2. Technology Networks3. SME SolutionsTCG focuses on the following 3 strategies:1. Volatility2. Arbitrage3. LendingAll 3 strategies are reflections of TCG's mandate to build liquid and uncorrelated portfolios. The firm has performance track records from 2006-2013 to the present and has launched funds for the 3 strategies. Each of the 3 strategies are aggregated from multiple sub-strategies most of which are niche, high performance but capacity sensitive. As TCG has historically deployed capital for the founding family and its affiliated families, the focus has always been on improving performance relative to risk rather than increasing assets under management.
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