170+
Portfolio company1
70+
Circulation and withdrawal2
10+
Investment team3
60+
Investment personnel4
S&P500+BTC dual core structure, with compound interest growth across cycles.
Only profit from statistical certainty, without taking directional risk.
Cayman Islands registration, CIMA regulated, third-party independent valuation.
A Dual-Core Structure of S&P500 and BTC for Compound Growth Across Market Cycles.
Enhance the flexibility of profit distribution on a stable foundation.
FuGreen Investment Management closely monitors start-up companies with huge development potential and provides comprehensive services including capital to excellent start-up companies.
Angel investment is something we can do as a new public welfare, but it must be commercialized and commercialized in order to be efficient, expand its scale, and benefit more entrepreneurs
Fusion not only provides revenue, but also builds a wealth underlying system that covers growth, protection, and succession for global investors.
Make offshore funds truly adapt to the digital asset era: regulatory compliance+sub account custody+stablecoin direct deposit.
Cayman ELP Architecture+tax neutral design, with almost zero tax burden on investment returns and capital gains
Let more returns stay in the customer's account, rather than in the tax authorities.
Each client has an independent custodial sub account, with asset allocation records that are auditable and traceable,
Not mixed with any funding pool, security and clarity are benchmarked against international institutional custody standards.
Support mainstream assets such as BTC, ETH, USDT to be directly deposited into custody accounts, without the need for cross-border wire transfers or intermediary links, resulting in faster and smoother fund flow, compliance, and lower friction costs.
Tsinghua Quantitative Team's self-developed "spot+sustainable" strategy
Proactively divest market direction risks and pursue stable annual returns.
The underlying assets consist of high liquidity products such as S&P 500 ETFs and BTC ETFs,
The redemption window can be set to 3 months to 1 year to balance the compounding effect and fund flexibility.
S&P 500 as the foundation, BTC for enhancement — a dual-engine portfolio designed to weather bull and bear markets over the long term.
Tsinghua Mathematics Team builds a strong neutrality strategy, only profiting from funding rates and basis spreads, without betting on price movements.
Strict Position Control + Drawdown Management
All highly liquid products, with redeemable windows configurable between 3 months to 1 year — more flexible and with better exit options than traditional private equity.