Tyger Quantitative

TYGER QUANT BEETHOVEN

This investment portfolio is a securities investment FOF composed of 10 to 20 sub-funds and simultaneously holds or trades in hundreds of instruments. The trading instruments cover index ETFs, sector ETFs, commodity ETFs, stocks, bonds, etc. The investment markets are mainly focused on China, while also covering Hong Kong, Europe, and the United States. With more than seven years of operation, it has achieved a cumulative return rate of 92%, and it is the flagship product of Tyger Capital.

TYGER QUANT XUANWU

This investment portfolio is a quantitative investment fund composed of 50 to 100 convertible bonds, with a focus on Chinese convertible bonds while also allocating a small portion to corporate bonds and government bonds. Over a 7-year period, it has achieved a cumulative return rate of 165%, and it is a robust product capable of accommodating large-scale funds.

TYGER QUANT COLOMBO

This investment portfolio primarily trades U.S. equity index ETFs and stocks. It is the latest product from Tyger Capital, aiming to achieve extremely high returns while taking on a certain level of risk.