Overview
Our single strategy fund platform was established in 2005 with an aim to bridge the gap between emerging managers and institutional investors. We excel at providing a top-tier institutional platform to connect managers and investors within our rigorous risk and operational framework.
Fund Launch Support
MCP assists the investment professionals in launching a fund
A team of experienced legal and compliance professionals to work on various types of fund launches
Support to set up operational framework, including but not limited to, technology framework and regulatory framework
Seed capital assistance, leveraging our strong industry network
Relationships with industry-leading service providers, including experienced third-party fund administrators, prime brokers, accounting firms and legal advisers
IR & MARKETING SUPPORT
MCP helps investment professionals raising assets and maintaining client relationships
- Our investor base comprises institutional investors, private banks, pension funds, banks, family offices and HNW individuals
- Supporting investor’s initial and ongoing due diligence process
- Checking investor eligibility and performing KYC and AML checks
- Investor communication including performance reporting and response to investor’s inquiry
RIGOROUS RISK & OPERATIONAL FRAMEWORK
MCP supports the investment professionals with an
institutional-grade platform.
- Solid infrastructure enables to pursue their strategies including compliance, trade execution and reconciliation, valuation and technology
- Disciplined risk management oversight
- Robust control structure corresponding to evolving regulation landscape
Manager Sourcing
MCP discovers talented investment professionals in Asia
Headquartered in Hong Kong with a presence in Japan, the US and Korea providing global coverage
Long-standing relationships within the industry to source, evaluate and implement investment strategies in different asset classes
Allowing institutional investors to gain access to top-quality managers in Asia
Assisting the investors with ongoing monitoring of individual portfolios and its managers with transparency
PRODUCTS
Quantitative Equity Long/Short
Market Neutral Strategy
The strategy deploys a market neutral quantitative equity long/short strategy in listed companies in Japan, Hong Kong, Taiwan, and Korea to seek to generate consistent absolute returns with a relatively high Sharpe ratio while minimizing draw-downs.
Long-term concentrated Japan
Equity Strategy
The strategy seeks to achieve a return in excess of that provided by the TOPIX in the long run by investing in Japanese public equities. It endeavours to make long-term investments in “Structurally Strong” companies with ability to generate sustainable cash-flows.