Investment Programs


Program 1: Bear Advantage Robot 2, S&P 500 Long & Short

1) 3-Yr Max DrawDown 2.69% ----- 2) Hundreds of low-correlation strategies, running tiny positions, 100% robot trading ----- 3) EXTREMELY low leverage, easily handle disaster like 911, 2008 crash, or 2010 flash crash ----- 4) Higher gain potentiality in bear market while designed for absolute return in all market condition ----- 5) Investors aiming for high return may request up to 400% leverage

Learn More

Program 2: Black-swan Immune S&P 500 Future Option

Option selling strategy makes easy money in usual market condition, we outstand in extraordinary market: 1) Quarantined Tail-risk in black-swan event, even in sudden il-liquidation ----- 2) Shorter recovery period. After hit by Feb 2018 crash, we recovered in 6 months, as Citi/GS similar products were on the sideline up till Sep 2018. We recovered about 37% in one month after being hit again in Oct 2018 while Citi/GS on the low

Learn More

Program 3: China Commodity Semi-high Frequency

This program mainly uses semi-high frequency strategies, position holding period is within minutes. This semi-high frequency product is obviously advanced and scarce within Chinese market competitors, and greatly outperformed the peer. Trading Underlying includes all categories of China commodities for great diversifications.

Learn More

Program 3CA: China Commodity Semi-High Frequency with Optimized Capacity

Upgraded from Program 3, Program 3CA is also based on semi-high frequency data analyzing technology as well as specially customized enterprise data machine learning. Developers believe such data processing and analyzing technology is so far advanced and scarce in China market. In addition, to optimize capacity, hundreds of medium time frame strategies are integrated and heavier weighted in this program.

Learn More

Program 4: China Commodity Trend-following Quant

Trend following is one of the oldest but unbeatable strategies. It focuses on minimizing lose and carrying on and leveraging win. Use multi-strategy and all-market underlying to adequately diversify risk and ensure no-miss on any real-run trend. It has huge market capacity while maintains a relatively steady return.

Learn More