our team

 
 

Systematic, Global, Diversified

 
shutterstock_1055129285 (1).jpg

meet our team

Oceanus Research is a global asset management firm strives to deliver the best systematic global diversified returns to our clients under most rigorous risk controls and advanced investment technologies.

Our assets management team has been practicing for over a decade and has 15+ Years of Quantitative Research and Investment Experience from Top Asset Managers and Hedge Funds, with 10+ Years of Solid Track Record in Quantitative Investment (2+ Sharpe and 20%+ annualized return)

 

 

 

We manage alternative, multi-asset, multi-strategy investments for our clients. We apply quantitative tools throughout our entire investment process. The investment process and strategies are quantitative, model-driven and fully systematic across multiple asset classes.

 
 
 
 
A winning strategy weathers all market conditions and seeks long term stable returns and limit the down-side market risk
— Oceanus Research