GCI Asset Management

Academic Rigor.
Systematic Alpha.
From Tokyo.

Academic
Rigor.
Systematic
Alpha.
From Tokyo.

Academic Rigor.
Systematic Alpha.


From Tokyo.

A Tokyo-based quantitative asset manager translating frontier academic research into robust,
systematic investment strategies for global institutional investors.

ABOUT GCI

GCI is a Tokyo-based quantitative investment manager established in 2000 which looks at global markets.
We place great emphasis on academic research and the development of inovative investment strategies, and with our global network of offices in Tokyo, Singapore, and London, we strive to provide high-quality risk/return solutions.

Company Name
GCI Asset Management, Inc.
Established
13 April, 2000
Business Activities
Investment Management Business (Discretionary Investment Management and Investment Trust Management),Investment Advisory and Agency Business, Type II Financial Instruments Business, and other related activities.
Head Office
9F, Tokiwabashi Tower, 2-6-4 Otemachi, Chiyoda-ku, Tokyo 100-0004, Japan
CEO/Representative Director
Hideki Yamauchi, President & Chief Executive Officer
Regulatory Registration
Financial Instruments Business Operator, Director of Kanto Local Finance Bureau (Financial Instruments Firms) No. 436
Commodity Investment Advisory Operator, Minister of Agriculture, Forestry and Fisheries / Minister of Economy, Trade and Industry (1) No. 26
Memberships
Japan Investment Advisers Association (JIAA)
The Investment Trusts Association, Japan (ITA)
Group Companies
Caygan Capital Pte. Ltd. (Singapore; Licensed Fund Management Company)
Caygan Capital Ltd. (London; Authorized by the FCA)
Access
1 minute walk from Tokyo Station Nihonbashi Exit
Directly connected to Otemachi Station Exit B9a
1 minute walk from Mitsukoshimae Station, Exit B2
1 minute walk from Nihonbashi Station A1 exit