"Preserving and expanding wealth across market cycles"

With its Tokyo headquarters founded in April 2000, GCI Asset Management, HK Limited's (“GCI”) fiduciary principles guide its investment process, risk management, as well as client interactions.

"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 correlations 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.


Providing clients best-in-class quantitative macro strategies

We firmly believe that we can help our clients achieve their long-term investment goals by investing in the most liquid asset classes and having flexibility in ever-changing global markets.


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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