A Hedge fund traditionally means an open-ended private investment fund which aims to achieve a higher Return on Investment. By April 2012, the estimated size of global hedge fund was US$ 2.13 trillion. Diversification is added to the investment portfolio to achieve a desired risk level while the return of hedge fund is relatively less correlated to market fluctuation.
As the Chinese economy is still growing and the stock market is becoming more mature and open, CCL seized the trading opportunities to launch the fund spanning over Asia Pacific, focusing on Greater China with pair trading strategy. Investment in Exchange Traded Securities with higher transparency is preferred while in house quantitative model OPTrade is employed with fundamental overlaid to achieve a stable and consistent Annual Return of 12-15%. The targeted Sharp Ratio is 1.5.
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