DayStar Asia Fund Corporation Co., Ltd is a global investment management firm founded in 1999.The company is considered to be one of the most prestigious major hedge fund firms in the industry and on the market across the ASEAN Pacific Region. We offer undeniable high quality in the services that they provide, and we have been doing so for more than thirty years. ASIA'S TOPMOST BUSINESS FINANCING AND FUNDING SOLUTION PROVIDER Over the last 30 years, our mission has remained constant: to deliver the alternative investment industry’s highest quality returns to our investors, and to maintain a commitment to our principles of integrity, discipline and excellence. We analyze global markets with discipline and focus, and employ a range of strategies in an effort to deliver market-leading investment returns to our capital partners. We empower the most talented minds in finance with an unparalleled combination of deep fundamental research, predictive analytics, and leading-edge technology to identify and capture new opportunities. Our world-class global team brings together the art of investing with the science of finance to help our capital partners achieve their financial goals. DayStar Asia Fund Corporation is focused on understanding how the world work by having the deepest possible understanding of the global economy and financial markets, and translating that understanding into great portfolios and strategic partnerships with institutional clients, we've built a distinct track record of success. We've done this for more than 30 years by having great people operate in a culture of radical truth and radical transparency. DayStar Asia Fund Corporation is trusted by investors across the world to manage their assets by seeking the optimal balance of risk and reward. While we’re known as a pioneer in quantitative investing, we also have considerable expertise in areas that involve fundamental analysis or portfolio manager discretion. We use a combination of quantitative and qualitative tools to uncover independent, hard-to-find sources of return across global public and private markets.