Our Team

Who We Are

Robert (Duncan) Donald

Position

Duncan has 29 years of Financial Markets and Trading experience, having worked for UK-regulated companies since 1995. Duncan started his career at the Bank of Scotland where he was quickly promoted to the Foreign Exchange Trading desk where he specialised in interbank trading of GBP, USD and AUD. Duncan then joined the Co-operative Bank where he remained for 14 years building an extensive trading team, heading up the Foreign Exchange Desk, and ultimately running Proprietary Trading for the bank.

Duncan then spent 4 years expanding his understanding of business as the CEO of The London Academy of Trading, ensuring core business and strategic targets were met and expanding the business to work with the British Accreditation Council and esteemed Universities to offer accredited Financial Markets programmes.  in 2018, Duncan chose to return to direct finance as he took a position with an Asian-owned London Investment and Asset Management, where he held the role of Head of Investment & Asset Management. In this position, Duncan led teams that participated in the management of Equity, Global Bonds, Fixed Income and Corporate Bond investment.

Having worked alongside and with external Funds, Trading teams and Financial Regulators, Duncan is well-positioned to lead the Corporate Bond investment process, ensuring client satisfaction from a regulatory, stability and transparency perspective.

Ye Zhu

Position

Ye has over 15 years of banking, investment and family office experience in both China and the UK. He has been working in Chinese banks, financial advisors and UK family office’s, covering finance arrangement, equity trading and client relations. Ye is familiar with financial instruments in both developed and developing markets. His strong cross continental networks add arms of fund raising for the company.

Trusted Partners

Founded on the principles of precision, diversification, and proactive management, we have built a reputation for resilience in all market conditions. Our firm combines decades of experience with cutting-edge technology to craft investment strategies that are robust, adaptable, and forward-thinking.

Navigating Markets with Precision

Our Strategic Edge

Multi-Asset Approach

We employ a diversified multi-asset strategy that includes equities, bonds, FX, commodities, and derivatives. This approach mitigates risk and captures opportunities across various asset classes.

Active Management
Our team actively manages the portfolio, dynamically adjusting asset allocations based on market conditions and economic indicators. This proactive stance allows us to capitalise on emerging opportunities and mitigate potential risks.
Risk Management
We prioritise risk management through sophisticated hedging techniques, stress testing, and scenario analysis, ensuring the portfolio remains resilient against market volatility.
Innovative Analytics
Utilising advanced quantitative models and proprietary algorithms, we analyse market trends, price movements, and economic data to inform our investment decisions.

Ready to Start?

Discover how our strategies can help you weather all market conditions.
Book a Call with our experts today or get in touch.