德骏资本 ABOUT D.J. CAPITAL
DJ Capital was established in Shanghai China; and it specializes in the asset management of equity investment and multi-strategy quant hedge fund.
The team at DJ Capital demonstrates its core competitive edge. The partners and team members are all elites with overseas educational and professional background; and all of them have more than 20 years of experience in the financial management and investment area.
Adhering to the investment philosophy of ‘steady growth through bull & bear markets’, DJ Capital was confident to bring a pleasant investment experience to all the investors.
The philosophy of DJ Capital is ‘Consistent Growth & Diversified Strategy’. We discover suitable investment targets through proactive analysis and prudent evaluation methods, to realize the consistent and complex growth of our assets.
The core team was staffed with personnel who have extensive experience in various financial institutions both domestic and abroad, familiar with the primary and secondary market both onshore and offshore. These attributes enable us to assist our investors in a better management of the capital and this would extend to future exploration into the international capital market.
Through equity investment into the target company, DJ Asset Management (under DJ Capital) provides value added service in various areas, including strategic planning, management enhancement, financial optimization, industry integration and exploration into offshore market, etc. On one hand, this helps the company to establish or strengthen its leading position in the industry; on the other hand, it also helps the investors to receive better return on their investment through the fast growth of the company.
DJ Quant Hedge Fund (under DJ Capital) adheres to absolute return as its focusing investment logic; its strategy includes index arbitrage, statistic arbitrage, options arbitrage, tiered fund & ETF arbitrage, fixed return, quant hedging and high-frequency trading. As a high-tech hedge fund team with diversified strategy, our return is not affected by the market cycle. We are able to achieve sustainable and stable return for our high net-worth individual & institutional clients with our flexible asset deployment strategy.