Fortune Empire Holding’s philosophy is rooted in the idea that combining uncorrelated sources of return produces superior results over time. Unlike many systematic investment managers, who rely exclusively on trend-following strategies, our institutional-standard infrastructure has enabled us to build portfolios that adopt a multi-asset, multi-strategy approach. We develop and implement investment and portfolio construction processes that aim to deliver returns uncorrelated to long-only investments as well as to traditional hedge fund strategies. 


To us, investment management equals risk management. Fortune Empire Holding utilizes sophisticated and robust proprietary risk management systems to generate attractive risk-adjusted returns. We employ a rules-based investment approach which enables us to tailor risk on demand and build portfolios that target a constant level of volatility.


We take great pride in the expertise and professionalism of our people. Continuous learning is a top priority at all level of the business to keep ourselves knowledgeable and aware of new trends in different industries. We respect and empower our colleagues and we are committed to teamwork, while practicing humility at all times.

Fortune Empire Holding is a leading diversified holding company with $4 billion in assets under management. Our investment expertise spans multiple asset classes such as real estate, private equity, infrastructure and others. Our strengths lie in our ability to source attractive investment opportunities, utilize our disciplined investment management heritage to de-risk investments and structure innovative transaction solutions. We do this by using extraordinary people and flexible capital to help companies solve their problems.