Hong Kong-based B7 Capital has achieved a new milestone in its fund of funds division dedicated to digital assets. The quantitative investment fund launched by the company has already begun operations and has raised $100 million in capital.
Building a Diversified Portfolio with Multiple Quantitative Strategies
The investment approach of this fund is based on data-driven strategic research. By combining multiple quantitative methods such as market-neutral arbitrage, CTA (Commodity Trading Advisor), and options trading, it aims to generate stable returns across different market environments.
This fund of funds structure allows for efficient portfolio management through investments in multiple quantitative strategy funds. By minimizing correlations between strategies, it seeks to enhance risk-adjusted returns.
Advanced Talent and Operational Framework
B7 Capital’s management team consists of alumni from prestigious international universities such as Yale University and Peking University, possessing deep expertise in quantitative trading and risk management. A rigorous risk management system underpins the company’s operational foundation.
Moving forward, the company plans to accelerate research and development of quantitative strategies and expand strategic partnerships within the digital asset ecosystem. Leveraging its expertise in fund of funds management, it aims to unlock new possibilities for quantitative operations in the cryptocurrency market.
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Hong Kong-based B7 Capital launches a new fund with a scale of $100 million through quantitative management
Hong Kong-based B7 Capital has achieved a new milestone in its fund of funds division dedicated to digital assets. The quantitative investment fund launched by the company has already begun operations and has raised $100 million in capital.
Building a Diversified Portfolio with Multiple Quantitative Strategies
The investment approach of this fund is based on data-driven strategic research. By combining multiple quantitative methods such as market-neutral arbitrage, CTA (Commodity Trading Advisor), and options trading, it aims to generate stable returns across different market environments.
This fund of funds structure allows for efficient portfolio management through investments in multiple quantitative strategy funds. By minimizing correlations between strategies, it seeks to enhance risk-adjusted returns.
Advanced Talent and Operational Framework
B7 Capital’s management team consists of alumni from prestigious international universities such as Yale University and Peking University, possessing deep expertise in quantitative trading and risk management. A rigorous risk management system underpins the company’s operational foundation.
Moving forward, the company plans to accelerate research and development of quantitative strategies and expand strategic partnerships within the digital asset ecosystem. Leveraging its expertise in fund of funds management, it aims to unlock new possibilities for quantitative operations in the cryptocurrency market.