About Us

Kepler 22B Capital — Global Insight, AI Precision, Resilient Growth.

“Next-Generation” Global Perspective

We delve deep into the world’s three most vital economies: China, the U.S., and Europe. Leveraging years of accumulated insight into global macro trends and in-depth industry research, Kepler22B Capital employs a cross-regional, cross-industry collaborative research mechanism. This allows us to swiftly identify subtle market shifts across different regions, build forward-looking convictions ahead of market consensus, and precisely capture investment opportunities through flexible long/short strategies.

“We understand the European and U.S. markets better than Chinese investors, and we comprehend the Chinese market more profoundly than European or U.S. Investors.”

Global Elite, Proven Expertise

Our international elite investment team covers the three major global economic powerhouses—China, the U.S., and Europe. Our members, hailing from top institutions like Harvard University and the University of Konstanz, are strategically located in Asia and North America offices, ensuring 24/7 uninterrupted global market coverage.

“Beyond years of hands-on experience in global public equity markets, our team also possesses extensive international financial auditing expertise. This provides a robust safeguard and a critical “safety cushion” for our research and decision-making processes.”

AI-Empowered: Redefining Investment Research

Unlike traditional hedge funds — often constrained by past successes, large teams, and rigid models — we adopted an agile and open approach to technological innovation from our inception. We deeply integrate the world’s most cutting-edge AI technology into our investment research and decision-making workflows. This tight synergy between AI and in-depth fundamental research not only significantly boosts decision velocity but also creates a distinct advantage in both precision and foresight.

For our investors, this translates into more precise and efficient investment positioning, more dynamic portfolio management, comprehensive real-time insights into global market movements, and maximized long-term returns.

Globally Diversified, Robust Risk Hedging

Leveraging our team’s profound global perspective and diverse backgrounds, Kepler22B Capital precisely identifies core growth opportunities across global industry chains. Through strategic global allocation, we forge portfolios that are diversified for risk and possess potential for robust alpha.

“This approach allows us to fully capitalize on the growth dividends of various economies at different stages of development while effectively mitigating the risks associated with single-market volatility, with the goal of achieving resilient portfolio growth and enhanced risk diversification.”