The fund primarily employs long/short strategies to invest in various financial derivatives related to securities and commodities (including spot and futures) to achieve its investment objectives. The portfolio's assets may also be invested in other instruments, including but not limited to listed stocks, fixed-income securities, certificates of deposit, deposits, commercial paper, and other money market instruments, equity-related instruments, debt securities and debt (which may be below investment grade), exchange-traded funds, collective investment schemes, currencies, options, warrants, swaps, and other derivatives in the global market. The assets of the portfolio will invest in derivatives and other securities for hedging purposes. Derivatives can be traded on exchanges or over-the-counter. The company may engage in short selling, margin trading, and other investment strategies. The company may hold cash or cash equivalents (including money market funds), reinvest, use as collateral, or for other investments deemed appropriate.

GOLDEN HEN FUND SPC prioritizes compliance, leads with strategy, and maintains rigorous risk control. Adhering to the values of "customer first, integrity above all, technology as the foundation, and long-term thinking," the fund steadily implements its business strategy. The fund will use technology to empower trading and achieve reliable, substantial, and sustainable investment returns for clients.