Blending data-driven insights, risk control and quant expertise to pursue reliable returns.
*Alpha refers to the excess return of an investment relative to a benchmark index and is a measure of performance.
指數增強股票策略
把握股票風險溢價的明智策略
投資方式經過時間驗證,致力於獲取穩定的額外回報和控制相對風險
分散投資於具實證回報潛力的投資因子和創新投資信號
旨在獲得較高的資訊比率(經風險調整回報率)