“主观+量化”混合型私募冠军!双核引擎驱动,多策略抗周期 | 打卡100家小而美私募
私募排排网·2025-10-17 00:00

Core Viewpoint - The article highlights the significance of small to medium-sized private fund managers in the industry, particularly focusing on ZeYuan Fund, which has a unique investment strategy and a strong performance record [3][4]. Group 1: Company Overview - ZeYuan Fund was established on November 11, 2015, and registered as a private securities fund manager on December 25, 2017, with a cumulative management scale of 1.9 billion [4]. - As of August 2025, ZeYuan Fund's products have achieved an average return of ***%, ranking first among "subjective + quantitative" mixed private funds with a scale of 1-2 billion [4]. Group 2: Core Team - The team at ZeYuan Fund comprises professionals from banks, trusts, and securities asset management, skilled in using quantitative tools to enhance traditional fundamental analysis [7]. - Key members include: - Yang Guang, General Manager, with over 10 years of experience in financial institutions [8]. - Tang Yunjie, subjective strategy fund manager, with a Ph.D. in management engineering and extensive academic and practical experience in finance [10]. - Zhou Lihua, composite strategy fund manager, with over 10 years of overseas derivatives quantitative trading experience [12]. Group 3: Investment Philosophy & Representative Strategies - ZeYuan Fund employs financial technology theories and modern computing techniques to identify opportunities in asset price fluctuations, enhancing traditional analysis with quantitative tools [14]. - Representative strategies include: - Beijing Stock Exchange Quantitative Strategy: A self-operated strategy focusing on high turnover and flexible adjustments based on daily performance data, with an average daily turnover rate of around 50% and an annual turnover rate of 150 times [15]. - Subjective Strategy: Focuses on undervalued small stocks, with a holding period of 1-6 months and a maximum single-stock concentration of 25% [19]. - The fund also emphasizes low correlation asset combinations to reduce risk and improve overall returns [21].