Guided by the "unique and alternative" investment concept, the company strives to survive and develop in the ups and downs of the market environment, intensively cultivates quantitative investment and derivatives trading, and pursues the most effective use of funds in bond asset allocation and cash management.
The company has not only made unremitting efforts in building its own team strength, but also paid attention to introducing external partners. At present, it has formed a close cooperation mechanism with Zheng Lu Futures, SDIC Zhonggu Futures, Warburg Securities, Rongtong Fund, ICBC Credit Suisse and other investment and research team members. In the futures investment business, the company attaches importance to the spot market research, forms an information sharing platform with the personnel of major futures companies and spot enterprises, and actively grasps the market dynamics.
The registered capital of the company is100000 yuan and the paid-in capital is100000 yuan. Obtained the registration certificate of private investment fund manager of China Asset Management Association. Registration number: P 1020360
Beijing Haichuan Tiandi Investment Management Co., Ltd. has two characteristics: First, it attaches importance to asset allocation and risk management. The company adheres to the investment philosophy of active risk management and passive income, puts risk control in the first place, allocates funds through risk identification of different assets, and obtains relatively high safety margin and stable and reasonable income. Second, adhere to diversified investment direction, adhere to multi-variety, multi-strategy and multi-market capital allocation, and transfer funds according to market changes.