About Us
Licensed Global Asset Management
Des Voeux Partners Limited, established in 2016 and based in Hong Kong, the premier international financial hub, holds SFC Type 4 (Securities Consulting) and Type 9 (Asset Management) licences issued by the Hong Kong Securities and Futures Commission, and is a CSRC-approved Qualified Foreign Institutional Investor (QFII). As a key capital market participant, we leverage Hong Kong's strategic position as the global capital gateway to build a comprehensive investment framework spanning primary market private equity, secondary market securities trading, and diversified equities, bonds and derivatives allocation, with a footprint across Greater China, Asia-Pacific and mature European and American capital markets.
Our business
Our core investment and risk management team boasts an average of over 20 years of in-depth experience in the financial industry, with proven expertise from leading investment banks and asset management firms across North America, Europe and Asia. Adopting an active management approach, the Company has developed an innovative multi-asset allocation framework underpinned by diversified volatility management. Through multi-strategy deployment and leveraging synergies and complementary effects across strategies, we execute cross-asset investment and tactical asset rotation, striving for return enhancement and effective risk diversification.
Investment fields
Focusing on industrial equity investment and asset management, with a key focus on strategic emerging industries such as high-end manufacturing, digital technology, and green energy. Our business covers early-stage venture capital investment, growth-stage corporate equity investment, and supporting post-investment management services.
Allocation strategy
1. Strategic Trading & Currency Optimization.
2. Diversified Long-Term Asset Allocation.
3. Refined Segmented Bond Allocation.
4. Diversified Cross-Fund Allocation for Risk Mitigation.
5. Integrated Research Framework for Sustainable Long-Term Asset Growth.
2. Diversified Long-Term Asset Allocation.
3. Refined Segmented Bond Allocation.
4. Diversified Cross-Fund Allocation for Risk Mitigation.
5. Integrated Research Framework for Sustainable Long-Term Asset Growth.
Business model
Through direct investment and joint investment in high-quality industrial projects, we provide comprehensive post-investment management and resource empowerment. Relying on multiple channels such as equity transfers and listings, we achieve exits and establish a complete investment and financing loop.
News
Hong Kong consolidates its advantages as an international financial center
2026-07-30
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Regarding hot topics such as the internationalization of the RMB, the latest statement from the Chief Executive of the Hong Kong Monetary Authority, Mr. Yu Weiwen
2026-08-04
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Hong Kong's Exchange Fund achieved an investment income of HK$134.7 billion in the first half of the year
2026-07-29
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