We believe in long term stable capital appreciation through our state-of-the-art investment research, including big data and machine learning. We are particularly focused on firm- wide risk management and strategy level portfolio construction. We seek alignment of interest with our client which could last for generations.
We are dedicated to deliver the best systematic global diversified returns to our clients under most rigorous risk controls and advanced investment technologies.
Oceanus is a quantitative, systematic driven investment manager, who focuses on global, diversified returns through the deployment of multiple asset classes and countries throughout the world.
Oceanus’ Competitive Advantage
Oceanus is not bounded by traditional investment strategies. Throughout the years, it is focused on innovation, new ideologies, technology advancement and date integration. We are uniquely positioned to provide investment returns that can sustain the market and economic cycles.