Merit Asset Management is dedicated to global asset allocation and disruptive technology investments, operating in locations such as Hong Kong, Shenzhen, Beijing, Shanghai, Singapore, and San Francisco. The firm leverages over a century of global investment experience to accurately navigate macroeconomic cycles and tailor optimal allocation strategies. By employing a pyramid asset allocation strategy that categorizes assets into low, medium, and high volatility, it optimizes portfolio returns for stable long-term investment results. The company upholds the vision of investing human and financial capital into advancing human civilization.
Key offerings include:
• Low-Volatility Products: Bank deposits, money market funds, ultra-short-term bond funds, short-term bond funds, bank loans, mortgage-backed securities, insurance assets, and medium-term bond funds. These products prioritize capital preservation, liquidity management, and protection against hyperinflation.
• Medium-Volatility Products: Investment-grade bond funds, high-yield bond funds, long-term bond funds, emerging market bond funds, preferred securities funds, multi-asset mixed strategy funds, equity-linked notes, fixed-rate notes, shark fin notes, and private credit. These products balance risk and return, adopting a moderately aggressive yet defensive investment approach.
• High-Volatility Products: Equity funds, commodity funds, private equity, venture capital, and virtual assets. These investments focus on the future, aiming to convert risk into potential returns.
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