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Tianda Financial’s investment philosophy is based on risk control. Through responsible investment analysis and rigorous risk management, our professional team manages portfolios of client assets that suit their investment objectives and risk appetite. It is effective in achieving target returns for clients in any market condition.



  • PE Funds : Offshore / Onshore

    Cayman umbrella funds/sub-funds
    HK private funds
    Luxembourg and Ireland funds
    Focus on absolute benefit

    RQFII/QFII Cross-border Products

    PE Fund
    Channel Type Product
    Active Investment Product

    Others

    Structured products
    Investment solutions investing in Europe/North America/Middle East/Emerging Markets
    Projects (privatization/mixed-ownership reform/IPO/domestic& overseas M&A/private placement)

    IPO/ Private Placement Strategy

    HK IPO cornerstone and anchor
    HK private placement
    A Share IPO/private placement

    All Equity Strategy

    HK large-cap/small-cap strategies
    A share blue-chip/SME&GEM strategies
    U.S./European equity strategy

    Other Strategy

    Hedging strategies
    Real Estate Investment Trust (REITS)

  • Separately Managed Accounts(SMA)

    Personalized and dedicated investment solutions

    Investment Advisor/ Consultation Service

    Family office-type consultation and solution
    Investment advisory for insurance products
    Research analysis and investment strategies for China/Asia/European markets
    Investment advisory for RQFII/QFII/QDII

    Absolute Return Strategy

    Equity and fixed income hybrid strategy
    Equity absolute return strategy
    Fixed income absolute return strategy

    Equity-fixed Income Hybrid Strategy

    Equity/Fixed income active asset allocation
    Equity-biased strategy
    Debt-biased strategy

    Fixed-income Strategy

    Asian high-yield bonds
    Offshore preferred shares