Dynamic Mega provides direct market access across Hong Kong (HKEX), Shanghai (SSE/SZSE), Singapore (SGX), and major US exchanges. Our proprietary research desk covers 200+ equities with real-time risk analytics and algorithmic execution capabilities.
We serve institutional investors, family offices, high-net-worth individuals, and corporate treasuries seeking disciplined, research-driven capital market exposure.
Our portfolio construction methodology integrates fundamental analysis, quantitative screening, and macro-economic overlays to build resilient, return-optimised portfolios. Each mandate is tailored to the client's specific risk tolerance, liquidity requirements, and investment horizon.
Sophisticated risk management frameworks — including VaR modelling, stress testing, and dynamic hedging — protect capital during periods of market volatility.
We provide clients with access to IPO allocations, rights issues, and other primary market opportunities across APAC exchanges, leveraging our established relationships with underwriters and corporate advisors.
Delivered 23% annualised return for a Singapore family office over 36 months through a diversified Asia-Pacific equity strategy, outperforming the MSCI Asia ex-Japan benchmark by 8.4%.
Speak with our Stock Trading & Investment specialists today.