BLENDING FINANCE
AND
TECHNOLOGY

Background




ABOUT LINKWAYS


Linkways Asset Management Limited

Licensed by the Securities and Futures Commission of Hong Kong for Type 9 (Asset Management) regulated activity

CE No.: BML162


Linkways Investment Management Limited

Licensed by the Securities and Futures Commission of Hong Kong for

Type 1 (Dealing in Securities),

Type 2 (Dealing in Futures Contracts), and

Type 4 (Advising on Securities) regulated activities

CE No.: BML163


Our dual-entity structure enables us to operate within a robust regulatory framework while providing asset management, trade execution, and professional investment advisory services in a structured and compliant manner.






Our Philosophy

We believe sustainable performance is built on three pillars:

  • Capital Preservation
  • Risk-Adjusted Return Discipline
  • Structural Risk Management

Rather than pursuing short-term market momentum, we focus on long-term capital stability supported by rigorous research, quantitative analysis, and controlled exposure management.






Our Approach

Our investment process integrates:

  • Fundamental research and macro assessment
  • Quantitative modeling and systematic strategy frameworks
  • Derivatives-based risk management tools
  • Dynamic portfolio allocation mechanisms

Risk management is embedded at every stage of the investment lifecycle. Portfolio construction, liquidity management, counterparty exposure control, and stress testing form the core of our internal framework.





Our Positioning

Linkways serves as a bridge between:

  • Global capital markets
  • Cross-border asset allocation needs
  • Corporate treasury and hedging requirements

By blending finance and technology, we aim to provide structured, transparent, and risk-aware solutions tailored to institutional and professional investors.