6BN+
Asset under
Management
70+
Strategic Investors
60%+
PhD Level Team
Members
30M+
Annual Investment
in Technology
2014
Company Founded
Featuring High-frequency
Futures Proprietary Strategy
2015
Launched the First Equity
Strategy
Fund
2017
Maturing Strategy Business Model
2018
Launched the First Market
Neutral
Fund
2019
Launched the First Index
Enhanced Fund

Broadening Institutional Collaboration
2021
New Partner Joined
Started Shanghai Head-quarters
2022
URANUS Project Began
Layout in the US and Sin-
gapore Markets
URANUS RESEARCH
Uranus Research takes alpha strategies as its core, relying on advanced computer technology, deep understanding of the market fundamentals and structure. We strive to create stable and sustainable excess returns for investors. In 2021, Dr. Bo Sun, the former founding partner of Virtu Financial, joined us as a strategic partner, CEO and CIO, overhauling the firm's entire research platform and trading system to world-class levels.
Bo Sun
CEO&CIO
Centralised
Autonomous
Uranus Research is committed to creating a world leading quantitative investment platform
Based on core research capabilities, there are multiple investment product lines to meet investors'needs
Our Strategies
Market Neutral Strategy
A heding strategy that neutralizes market risks to obtain pure alpha returns, showing a combination of low risk and stable returns

Learn More
Index Enhanced Strategy
An index-anchored long biased strategy that seeks returns from both alpha and beta at the same time, showing a style of high-yield and high-volatility

Learn More
Market Enhanced Strategy
A long-biased strategy that invests across the entire market and seeks returns from both alpha and beta at the same time but not tracking any particular index, showing a style of high-yield and high volatility and a better return-to-risk ratio in the long run
Learn More
SHANGHAI
19th floor, Block A, Jinying Building, Shanghai
021-61760187
CHENGDU
Room 2508, Techfin Building, Chengdu
028-6210-6539
重要声明
在继续浏览本公司网站前, 根据《证券投资基金法》、《私募投资基金监督管 理暂行办法》、《私募投资基金募集行为管理办法》, 请确认您或您所代表的机构是一名“合格投资者”。合格投资者的标准如下:
一、具备相应风险识别能力和风险承担能力,投资于单只私募基金的金额不低于100万元且符合下列相关标准的单位和个人:
1、净资产不低于1000万元的单位;
2、金融资产不低于300万元或者最近三年个人年均收入不低于50万元的个人。(前款所称金融资产包括银行存款、股票、债券、基金份额、资产管理计划、银行理财产品、信托计划、保险产品、 期货权益等。 )

二、下列投资者视为合格投资者:
1、社会保障基金、企业年金等养老基金, 慈善基金等社会公益基金;
2、依法设立并在基金业协会备案的投资计划;
3 、投资于所管理私募基金的私募基金管理人及其从业人员;
4 、中国证监会规定的其他投资者。

如果您继续访问、浏览和使用本网站及网站内所有信息和资料,即被视为您声明您或您所代表的机构是一名“合格投资者” , 并同意接受本网站所有条款与条件的约束,将遵守适用的有关法规。 如果您不符合“合格投资者”标准或不同意下列条款及相关约束,请勿继续访问或使用本网站及其所载信息及资料。

本网站所载的信息和数据等资料仅供一般性参考,除非另有明确协议,不构成广告、分销、销售要约或买入任何基金或其他投资产品的任何形式的建议,亦不构成对任何交易的正式确认。

投资涉及风险,投资产品的过往业绩并不预示其未来表现。投资者在做出投资决策前,应审慎阅读相关产品合同, 并自行承担投资风险。 投资者不应依赖本网站所提供的信息和资料做出投资决策。

仲阳天王星对本网站所提供信息和资料的准确性、充分性、完整性不做任何担保或保证,且对于本网站内容的任何错漏或遗漏不承担任何法律责任。仲阳天王星拥有本网站及网站内信息和资料的所有版权、专利权及知识产权,未经本公司许可,不得复制、转载和发布本网站内的任何信息或资料。

如果确认您或您所代表的机构是一名"合格投资者",同意接受以上条款内容的约束,将遵守适用的有关法规,请点击“同意”键以继续浏览本公司网站。如您不同意任何有关条款,请点击“放弃”键。