[專屬閉門交流會] 2026年黃金與原油展望:重新定義避險資產, 數字資產與黃金-原油關聯性的演變 的封面图片
[專屬閉門交流會] 2026年黃金與原油展望:重新定義避險資產, 數字資產與黃金-原油關聯性的演變 的封面图片
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[專屬閉門交流會] 2026年黃金與原油展望:重新定義避險資產, 數字資產與黃金-原油關聯性的演變

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活动详情

活動詳情

  • 日期: 2026年4月22日(星期三)

  • 時間: 18:00 – 21:00(17:30 開始嘉賓簽到)

  • 地點: 活動詳細地址及最終確認函將僅發送予獲邀嘉賓。請務必盡早預約席位。

  • 專屬閉門交流會,以中文進行。

活動議程

  • 17:30 – 18:00 | 嘉賓簽到、高層金融圈交流。

  • 18:00 – 18:10 | 官方致辭 輝立Nova 及 芝商所 (CME Group) 代表開幕致辭。

  • 18:10 – 18:50 | 2026年黃金與原油宏觀展望 剖析多重資產關聯性的新常態。

  • 18:50 – 19:10 | 圓桌討論與問答 (Q&A) 圍繞宏觀市場、傳統金融、數字資產趨勢及加密資產市場展望展開交流。

  • 19:10 – 21:00 | 交流會 專為資深決策者定制的深度社交空間。

誰適合參與?

  • 機構組合經理: 尋求 2026 年宏觀週期下高勝率判斷框架的專業人士。

  • 家族辦公室負責人: 專注於長期財富保全與通脹對沖方案的決策者。

  • 活躍衍生品交易員: 致力於在高波動環境下優化複雜對沖策略的實戰者。

  • 市場策略師: 旨在精準解碼資金流向與 2026 年市場定位的專家。

芝商所 (CME Group) 領銜贊助 | 輝立Nova (Phillip Nova) 主辦

隨著全球流動性環境重塑及政策週期更迭,市場正步入全新的調整階段。資金在不同資產類別間的流動愈發頻繁,投資者對「避險資產」的定義亦隨之產生結構性轉變。在此大背景下,黃金依然處於宏觀敘事的核心。然而,原油、美元與數字資產之間日益複雜的交互影響,正為2026年的資產配置、對沖策略及市場定位帶來前所未有的挑戰。

本場專屬研討會將匯聚金融圈資深專業人士,深入探討影響全球宏觀交易的關鍵——甚至是鮮少公開討論的爭議性話題:

  • 究竟是傳統金價避險地位的補充,還是新一代的競爭者?

  • 在高波動環境中,驅動資本導向的底層邏輯為何?

  • 構投資者應如何調整策略,以應對黃金與原油之間不斷演變的關聯性?

席位申請須知:為了讓每位參與者都能獲得最佳的交流體驗,本次活動席位數量有限,並將進行簡單的資料審核。詳細地址將於審核通過後,隨同最終確認函發送至您的電子信箱。

特邀嘉賓

甘燦榮 Ivan GAN

特約講師、 資深投資經理、国际注册财务策划师

甘先生擁有 15 年一線資產管理經驗,是衍生品與複雜對沖領域的頂尖權威。身為芝商所 (CME Group) 及多個全球期貨協會的特約講師,他是中國首批從事 50 ETFs期權交易的開拓者。在交易生涯巔峰時期,其個人管理的持倉量一度佔據全國期權持倉總量的十分之一,展現了極強的市場影響力與高勝率的執行力。

王毅 Yi WANG, CFA 南方東英資產管理 (CSOP)

副總裁兼 、首席投資總監 

王先生作為亞太區最具影響力資產管理公司之一的首席投資總監,負責監管全線被動投資型 ETFs 業務。身為南方東英投資委員會投票成員,他致力於將全球機構資本與高端市場產品接軌。憑藉此前在倫敦 Redington LLP 專注於英國及歐盟養老金/保險投資方案的深厚背景,他為資產配置提供了無可比擬的機構級專業視角。

關於輝立Nova (Phillip Nova) 

輝立Nova(前身為輝立期貨)成立於 1983 年,是輝立資本 (PhillipCapital) 集團成員。作為新加坡交易所 (SGX-DT) 的創始清算會員之一,輝立期貨在全球逾 20 家交易所擁有清算資格,是區域內領先的股票、差價合約 (CFD)、外匯、全球期貨及大宗商品經紀商。

關於芝商所 (CME Group)

芝商所是全球領先且多元化的衍生品市場龍頭,提供涵蓋利率、股票指數、外匯、能源及金屬的期貨與期權交易。集團致力於打造連接風險管理者的全球中心,並運營頂尖清算機構 CME Clearing,有效提升市場誠信並降低交易對手風險。

關於南方東英資產管理 (CSOP) 

成立於 2008 年,是首家由中國資產管理公司在境外設立的持牌機構。目前已發展成為亞太區最具創新力的機構之一,致力於運用「全球-本地」的橋樑哲學,為國際資本提供進入中國市場的渠道及高端化投資工具。

申請審核通過後,確認函將發送至您的電郵。席位有限,敬請及早預約。 本活動全程將進行攝影及錄影,用於存檔及品牌推廣用途,報名即視為知悉並同意。

[An Exclusive Session] Gold & Oil Outlook 2026: Reassessing Safe Havens, Digital Assets and the Evolving Gold–Oil Relationship

​Event Details

​Date: 22 April 2026, Wednesday
Time: 6:00pm - 9:00pm (Registration from 5:30pm)

This seminar will be conducted in Chinese.

Venue details and final confirmation will be shared only with approved guests via email. Please kindly RSVP to secure your spot. 

Agenda

​5:30pm – 6:00pm: Private Reception & Guest Arrival

​6:00pm – 6:10pm: Executive Welcome

​6:10pm – 6:50pm: Global Macro Outlook on Gold & Oil 2026

​6:50pm – 7:10pm: Panel Discussion & Q&A

A discussion on macro markets, traditional finance, and digital asset trends, including the outlook for crypto assets.

​7:10pm – 9:00pm: Networking & Canapés

Who should attend? 

  • Institutional Portfolio Managers seeking high-conviction frameworks for the 2026 macro cycle.

  • Family Office Principals focused on long-term wealth preservation and inflation hedging.

  • Active Derivatives Traders looking to refine complex hedging strategies in high-volatility environments.

  • Market Strategists aiming to accurately master capital flows and 2026 market positioning.

Sponsored by CME Group & hosted by Phillip Nova

As liquidity conditions evolve and policy cycles progress, global markets are entering a new phase of adjustment. Capital is moving more actively across asset classes, and the way investors think about safe havens is beginning to shift. Against this backdrop, gold remains central to the conversation. However, the evolving interplay between Crude Oil, the US Dollar, and Digital Assets is creating critical new questions for portfolio construction, complex hedging, and market positioning in 2026.

This exclusive session brings together an elite circle of market participants to dive into the critical—and sometimes uncomfortable—questions shaping the future of global macro trading:

  • Do digital assets complement or compete with Gold’s status as a premier safe haven?

  • What really determines capital flow direction in the current high-volatility environment?

  • How should institutional participants recalibrate their hedging strategies to account for the evolving Gold–Oil interplay?

Registration Approval Required. Attendance is strictly curated, and capacity is limited. Venue details and confirmation will be shared only with approved guests via email. 

Featured Speakers 

Ivan GAN Investment Manager & Renowned Macro Strategist

A veteran with 15 years of high-stakes asset management, Mr. Gan is a preeminent authority on derivatives and complex hedging. A trusted lecturer for CME Group and global futures associations, he was a first-mover in the China 50 ETFs options market. At the peak of his trading tenure, he personally managed positions representing one-tenth of the entire national open interest—a testament to his deep-market influence and high-conviction execution.

Yi WANG, CFA Deputy-CEO & Chief Investment Officer, CSOP Asset Management

As the Chief Investment Officer at CSOP, Mr. Wang oversees all passive ETFs investment activities for one of Asia’s most influential asset managers. A voting member of the CSOP Investment Committee, his career is defined by bridging global institutional capital with sophisticated market products. With deep roots in the UK and EU pension sectors via Redington LLP (London), he brings an unmatched institutional-grade lens to asset allocation.

​About Phillip Nova

​Phillip Nova (formerly known as Phillip Futures) was established in 1983 and is a member of the PhillipCapital Group. It is a founding clearing member of Singapore Exchange Derivatives Trading (SGX-DT) and holds clearing memberships across over 20 global exchanges.

​Today, Phillip Nova is recognised as a leading brokerage in the region, offering access to equities, contracts for difference, foreign exchange, global futures, and commodities markets.

​About CME Group

​CME Group is the world’s leading derivatives marketplace, offering a broad range of futures and options across interest rates, equity indices, foreign exchange, energy and metals.

​The Group provides a centralised marketplace that connects participants seeking to manage risk with those willing to assume it. It also operates CME Clearing, one of the world’s largest central counterparties, acting as the buyer to every seller and the seller to every buyer, thereby enhancing market integrity and mitigating counterparty risk.

About CSOP Asset Management

Established in 2008, CSOP Asset Management was the first offshore entity set up by a regulated Chinese asset manager. Today, it has evolved into one of the most influential and innovative institutional players in the Asian financial landscape.

Managed with a "global-local" bridge philosophy, CSOP is widely recognised as the gateway for international capital seeking exposure to China and a leader in high-sophistication investment vehicles.

Venue details and confirmation will be shared only with approved guests via email. By registering, you acknowledge that photographs or recordings may be taken for archival and promotional purposes.

地点
请注册以查看此活动的具体地点。
Hong Kong Island
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