Cutting through complexity

GCI is an Asia-based quantitative investment manager which looks at global markets through a unique lens to deliver uncorrelated results.

Academic collaborations with leading universities in Japan

GCI places great emphasis on innovative quantitative research as the foundation of its investment performance. We have ongoing academic collaborations with leading universities across Japan.

Low correlation of returns with major asset classes

GCI manages systematic strategies that seek to deliver high risk-adjusted returns with low correlations to traditional asset classes such as equities and bonds across almost all types of market environments.

Our Philosophy

Avoid the Crowd

We apply unconventional models to global cross-asset investing through rigorous research and shaping original ideas into structure.


Reach Our Team

GCI Asset Management

Hong Kong Office / Tokyo Office (HQ)

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GCI Group Companies

Singapore Office / London Office

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