Established in 2000, GCI Asset Management, Inc. (“GCI”) is a $1.4 billion independent investment management firm based in Tokyo with a wholly-owned subsidiary in Hong Kong, and minority-owned affiliated entities in Singapore and London. GCI places a strong emphasis on fiduciary principles that serve to guide the investment process and risk management.
The Firm’s principal business is managing innovative hedge fund strategies which endeavor to deliver compelling risk-adjusted returns with low correlations to traditional asset classes. GCI conducts collaborative research and study activities with The University of Tokyo Graduate School of Economics. Our in-house, flagship strategy is Systematic Macro. We also provide cost-efficient hedging programs targeting crisis alpha, as well as other in-house strategies for our investors globally.