If we look back at the growth of a technology-oriented quantitative asset management company such as Topcredit from the timeline, although it has been established for less than a year, it has developed rapidly, with a complete product line, and has continuously achieved breakthroughs from 0 to 1. In the middle of 2020, Topcredit has just been established. It launched storage and digital currency OTC transactions at the end of July, online exchange at the beginning of September, and updated its products to version v2.0.0 on October 11. At the same time, it launched currency transactions and wealth management products. At the end of the same year, Super leveraged trading and mortgage lending are online. In 2021, while constantly upgrading product experience, Topcredit is also actively embracing regulation, and has successively obtained the legal operating rights of Hong Kong financial licenses, US financial licenses, Canadian financial licenses, and other countries and regions. In mid-February, Topcredit launched contract trading, and launched stock trading in March. Users who hold USDT can purchase multiple selected high-quality US/Hong Kong stocks through one-click exchange at Topcredit, giving users more trading options, and more Efficient supporting services.
As of March 12, 2021, Topcredit has released the sixth phase of quantitative wealth management products, with a total scale of 20 million U.S. dollars, and the fundraising has ended ahead of schedule. For such an asset management platform for high-net-worth individuals, up to now, the asset management scale of Topcredit has exceeded 2 billion US dollars. Such a scale is relatively uncrowded compared to the trading track of the same industry.
To see what kind of blood an asset management company has, the past experience of team members is a good entry point. Topcredit has gathered financial professionals and quantitative technical professionals from all over the world. They graduated from well-known universities at home and abroad such as Beijing University of Science and Technology, University of Science and Technology of China, Stanford, Berkeley, etc., 60% of them have a master's degree, and 10% have a doctor's degree. Team members are from top international financial institutions, asset management private equity, computer applications and other fields. Topcredit has always been positioned as a technology company that conducts transactions based on mathematical perspectives and computer applications. We hope that this is a company that can have a top international trading team and excellent asset management capabilities.
Investing is an adventure, and quantification is a scientific adventure. Different from relatively subjective investment methods, quantification places great emphasis on reasonable, continuous and optimizeable processes. From the point of view of the refined operation of the entire investment research process of Topcredit, on the basis of combining machine learning tools, we are gradually approaching the goal of industrial-level flow operation.
The entire investment research process of Topcredit is conducted and connected by five parts, namely: data cleaning; factor mining and feature extraction; machine learning factor combination; algorithmic trading; T+0 enhancement. It is worth noting that during the entire process, nearly 60% of the 18 investment researchers are IT talents from companies such as Microsoft and Intel. They are responsible for policy support, system configuration, transaction optimization, algorithm optimization, data cleaning, etc.
From the perspective of the advantages of the strategy, the core alpha strategy of Topcredit has been iteratively upgraded to machine learning. Compared with the multi-factor model, the machine learning model can dig deeper into big data, is more nonlinear and flexible, and can carry out regular and faster strategy iterations. Strong adaptive ability.
Factor construction is the prerequisite for forming an effective strategy. The most widely used quantitative model is the multi-factor model. It will separate various factors that affect the price of digital currency/stock: such as macro, industry, liquidity, company fundamentals, trading sentiment, etc., through the statistical analysis of historical data to verify, select effective factors, and buy to satisfy Cryptocurrencies/stocks of these factors. In this way, subjective blindness can be avoided and all digital currencies/stocks can be quickly covered. In terms of factor mining, Topcredit has cleaned the data of the whole market, and on this basis, it has excavated some new types of volume and price factors such as real-time market data and machine learning. In addition, in addition to analysts' expectations, they also used technologies such as crawlers to mine news events and other event-driven fundamental factors.
Secondly, the advantages of Topcredit I's investment strategy are also reflected in full-band forecasting, algorithmic trading that effectively reduces transaction friction, and reduces impact costs; programmatic T+0 that can enhance product returns, smooth curves, and reduce drawdowns. The current scale of Topcredit is only 200 million US dollars, and its own scale is not crowded compared to the trading track of the industry. It has deployed servers on the exchange, and high-frequency strategies, algorithmic trading, and T0 strategies will be smoother.
There is an essential difference between the difficulty of obtaining Beta income that fluctuates with the market and the difficulty of obtaining Alpha income that exceeds the performance of the market. Beta is easy to obtain, but Alpha is hard to find. At present, the wealth management products under Topcredit are mainly based on stability, guaranteeing capital and interest, and maximizing income.
The current global economic downturn, the risk-free rate of return is at a historically low level and there has been a certain degree of correction. For investors who pursue absolute returns, asset allocation is becoming more difficult. The advantages.
Investing is an adventure, and quantification is a scientific adventure. Looking back on the timeline, this company is positioned as a technology-oriented quantitative asset management company, and is committed to becoming the world's top asset management platform. Since its establishment, it has grown rapidly. At present, the product line of Topcredit covers currency trading, super leveraged trading, contract trading, stock trading, wealth management, exchange, mortgage lending, etc., which can meet the needs of investors for flexible allocation according to their own risk preferences and capital usage habits . In the quantitative asset management market, Topcredit has prominent features and advantages in building the core competitiveness of team members, using machine learning tools, building an industrialized assembly line, continuously optimizing strategies, and completeness of products.
Topcredit Int official website: https://tope.com
Topcredit Int APP download: https://download.tope.com
Topcredit Int Telegram English channel: https://t.me/topcredit_Ann
Topcredit Int English Community: https://t.me/Topcredit_Int_GroupEN
Topcredit H5 site: http://H5.tope.com
Twitter: https://twitter.com/TopcreditEx
Medium: https://medium.com/@Topcredit_International
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