Investment Management - , Hong Kong Island, Hong Kong
Vanhau Asset Management aims to deliver positive uncorrelated double-digit returns by striving to capture macro thematic moves through an amalgamation of old-school macro strategies with new age big-data & analytics. Liquid FX & Rates expressions in cash and derivatives across a few themes will form the bedrock of the portfolio. Equities, Commodities & Credit will comprise a minor portion of the portfolio, to the extent that they are macro expressions. The fund will invest in robust risk management systems and develop bespoke frameworks to manage risk pro-actively at a portfolio level.
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