Wynson Global Opportunities Fund SPC

Convergence Vulcan Fund

A systematic multi-strategy trading fund, built risk-first. Layered capital, hard portfolio limits and a permanent cash reserve, designed for investors who put downside protection first.

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Built to compound steadily, and to survive the bad months.

Convergence Vulcan Fund SP is a segregated portfolio of Wynson Global Opportunities Fund SPC, managed by Wynson Asset Management Limited.

The fund runs a systematic multi-strategy programme on proprietary trading algorithms. Every decision starts from capital preservation: risk limits are part of the portfolio architecture from day one, not a layer added afterwards.

It is designed for family offices, professional allocators and long-term systematic investors who want consistent compounding with controlled drawdowns.

A rules-based programme, run by algorithms.

The fund combines several proprietary trading algorithms, each with a defined role in the portfolio. Trading is systematic and follows its rules without discretionary overrides.

Proprietary algorithms

A multi-strategy set of in-house trading algorithms, allocated by role so that no single strategy dominates portfolio risk.

CFDs across major asset classes

Exposure is taken through CFDs across major asset classes, built for speed, flexibility and volatility capture.

Intraday holding periods

Positions are managed within the trading day, with no structural overnight risk.

Selective, short-duration leverage

Leverage is used only by select short-term strategies, and always inside portfolio-level hard risk caps.

Capital is layered by purpose.

The portfolio is split into four layers with distinct jobs. Allocation caps keep any single strategy from driving fund-level risk.

Cash 10% Alpha 10% Growth 25% Anchor 55%
  1. 55%

    Anchor

    Core alpha and capital stability. High-conviction, lower-frequency strategies that form the return base and the capital preservation anchor.

  2. 25%

    Growth

    Diversification and regime support. Uncorrelated strategies that add ballast and reduce overall volatility.

  3. 10%

    Alpha

    Opportunistic and experimental. Asymmetric strategies that capture upside within strict risk limits.

  4. 10%

    Cash reserve

    A permanent liquidity buffer that absorbs volatility, adds margin headroom and funds opportunistic scaling after drawdowns.

Risk management sits at portfolio level.

Limits are enforced by automated monitoring across all strategies, in real time.

Hard capital limits

Strict allocation caps stop any single strategy from dominating portfolio risk, with automated compliance monitoring.

Kill rules

Basket-level and system-level circuit breakers halt trading when predefined risk thresholds are breached.

Dynamic drawdown controls

Position sizing adjusts automatically in adverse periods, limiting losses while preserving capacity to recover.

Continuous monitoring

Real-time performance tracking with automated alerts for emerging risk conditions.

Portfolio protection limits

Maximum daily drawdown< 1.8%
Maximum weekly drawdown< 3.8%
Maximum monthly drawdown< 7.0%
Single-bot drawdown per event≤ 20%
Fund-level loss per event≤ 2% of AUM

Limits are risk-management parameters, not guarantees. They may be exceeded in stressed or disorderly markets.

Designed for long-term, professional capital.

The fund is offered to professional and institutional investors. It is not built for investors who want leverage or short-term performance.

Ideal investor

  • Family offices
  • Professional allocators
  • Long-term systematic investors
  • Investors focused on risk-adjusted returns

Not designed for

  • Leverage-seeking investors
  • Short-term performance chasers
  • High-volatility mandates

Terms and structure.

Summary terms only. The fund's confidential offering documents govern.

Umbrella fundWynson Global Opportunities Fund SPC
Segregated portfolioConvergence Vulcan Fund SP
Investment managerWynson Asset Management Limited
FundConvergence Vulcan Fund SP
Investment managerWynson Asset Management Limited
Base currencyUSD
Minimum investmentUSD 1,000,000
Subscription feeUp to 5%
Management fee1.0% per annum
Administration fee1.0% per annum
Performance fee Tiered on monthly return
  • 0% to 5%: 20%
  • 5.01% to 10%: 40%
  • 10.01% to 15%: 50%
  • 15.01% and above: 60%
LiquidityQuarterly
Recommended investment horizon3 to 5 years
Fund administratorAmicorp Fund Service Asia Limited
CustodianIC Markets / JP Morgan Chase
Legal counselOgier
AuditorRankin Berkower (Cayman) Limited
Manager regulatory statusWynson Asset Management Limited is licensed by the Securities and Futures Commission of Hong Kong (SFC) for Type 4 (advising on securities) and Type 9 (asset management) regulated activities.
Fund registration[Insert fund domicile and registration details]

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