DL Global Capital provides clients with exclusive private investment opportunities across asset classes. Our offerings include private credit, offering customized debt solutions; private equity, focusing on growth and late stage opportunities; and curated hedge fund strategies, aimed at delivering optimized risk-adjusted returns. We ensure clients have access to unique and innovative investment options that are aligned with their financial objectives.
Our dedicated team provides financing solutions for various clients in forms of direct lending or structured products. We leverage our strong deal sourcing capabilities and deep industry expertise to construct portfolios of high-quality loans to companies across sectors. We work closely with management teams to support borrowers' growth strategies through flexible capital.
With our thorough due diligence and active loan monitoring process, we seek to maintain downside risk protection while delivering attractive risk-adjusted returns to our investors.
We seek for rare and quality investment opportunities in private equity investment and offer investors significant long-term growth and quality assets. Through investing in some prominent PE funds, co-investments with some top-tier investment firms and direct investments, clients can gain diversified exposure and access to unique opportunities leveraging the resources of leading sponsors.
ONE Carmel is a luxury real estate project of 891 acres with 73 world-class houses and global community services located in the breathtaking Carmel Valley, California.
After 7 years of hard work, the first phase of the project has started and achieved significant progress. The widening of the community driveway and the preliminary earth leveling have been completed. At the same time, the sales center was officially launched, and some cooperation intentions and plot reservations were completed.
DL Voyage SP is a fund of hedge funds. It can invest in multiple funds that are not accessible by individual investors. Through rigorous manager selection across different strategies, assets and markets, we aim to generate steady absolute returns with low market correlation and total portfolio risk.
The DL Dynamic Growth SP fund aims to achieve long-term capital appreciation by investing in technology and stocks with high growth potential, while effectively controlling volatility and drawdowns. The fund uses a combination of quantitative models and qualitative analysis to diversify allocation across multiple technology sub-sectors, including but not limited to artificial intelligence, internet, semiconductors, and cloud computing. During periods of market volatility or downturns, the fund manager may discretionally allocate part of the assets to defensive investment targets to reduce portfolio volatility. This fund is suitable for qualified investors with long-term investment goals, seeking high returns and able to bear certain risks.
Mr. Zhou is a seasoned professional in corporate finance and private equity with close to 20 years of experience in Hong Kong and New York.
Mr. Zhou is a seasoned professional in corporate finance and private equity with close to 20 years of experience in Hong Kong and New York. He is currently a Partner of DL Holdings and CEO of DL Global Capital. During his tenure at DL Holdings, he successfully built up the Group's alternative investments business and played an instrumental role in the establishment and development of DL Family Office. Prior to joining DL Holdings, Mr. Zhou held investment banking and private equity roles with several institutions, including Lehman Brothers, Nomura, Bear, Stearns & Co., PacBridge Capital Partners and BNP Paribas in Hong Kong and New York. Mr. Zhou holds an MBA in Finance from Yale University and a bachelor degree from Baruch College.
Ms. Zhang is a seasoned professional with nearly fifteen years of experience in corporate financing, corporate bonds and direct investments across multiple sectors globally.
Ms. Zhang is a seasoned professional with nearly fifteen years of experience in corporate financing, corporate bonds and direct investments across multiple sectors globally. Previously, Ms. Zhang was the investment director at the offshore investment arm of AVIC Capital International and China Cinda. She also acted as the head of primary market development at Hamon Asset Management Limited to drive the firm’s expansion into new markets in Asia.
Ms. Zhang holds a Master degree in Real Estate from the University of Hong Kong and a Bachelor degree from the Central University of Finance and Economics in Beijing.
Jason Ye is a seasoned Portfolio Manager with nearly 15 years of experience in investment and research.
Jason Ye is a seasoned Portfolio Manager with nearly 15 years of experience in investment and research. He has held key positions at prominent financial institutions, including Taikang Asset Management, Essence Asset Management and China Southern Asset Management. Mr. Ye specializes in equity analysis and macroeconomic research, with expertise spanning technology, internet, energy, and consumer sectors. He employs deep fundamental analysis and thorough industry research to drive strong investment performance. Mr. Ye holds a Bachelor's degree in Economics and Finance (First Class Honors) from the University of Hong Kong, an M.Phil. degree in Economics from the Chinese University of Hong Kong, and he is a CFA charterholder.
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