The fund is managed by professional managers
Pursuit of stable profit and risk control
The returns do not affected by the economic cycle or the volatility of stock markets
The main characteristics of the Fund are fixed income, good liquidity and resistance to inflation.
Investors are freely to redeem all of the fund or part of the fund after 90 days of investment. The process is within a very short time process (usually 12 days), therefore, it is well liquidity.
About 0.45%~0.65% of the interest rate per month (the interest rate is not from the capital), which is a Stable income, Letting the assets grow monthly, dreams into reality.
The fund was incorporated in the British Cayman Islands in 2018 (Regulatory Number 348184),
The financial supervision laws are strict, the various statements and major information are published, and the website is immediately announced.
Operational funds and client funds are in segregate accounts.
Client funds are custody by the custodian bank and investment income is guaranteed.