OUR COMPANY

About SPARK UNION CAPITAL

A global asset management and financial technology institution at the convergence of intelligence, scale, and capital

Six years of asset management, serving global professional capital

From a professional team to intelligent asset management, years of experience are becoming capabilities for individual users worldwide.

480M+USDAUM and Assets Serviced
12B+USDAnnual Cumulative Trading Volume
50+Institutional and High-Net-Worth Clients Served
13%Historical maximum drawdown of the relevant combined strategies during the measurement period
As of the measurement period

Asset coverageGoldForeign ExchangeGlobal EquitiesIndicesDigital Assets

Company Founded

Spark Union Capital was founded in 2020. Its early development was built on a professional team with Wall Street trading and asset management experience.

The company primarily provided multi-asset capital management services to high-net-worth clients, family offices, trust institutions and fund companies.

Continuously strengthening risk management

The historical net asset value records of the relevant combined strategies show a maximum drawdown of 13% during the measurement period. Market volatility is real. The company continues to improve risk alerts, dynamic position reduction, strategy suspension and extreme-market responses.

  • Risk Alerts
  • Dynamic Position Reduction
  • Strategy Suspension
  • Extreme-Market Response

Different capital goals. Shared risk standards.

Larger capital

asset protection, liquidity and long-term stability

Smaller capital

efficient use of funds

Different product goals. The same risk management standards.

Read the full journeyClose the full journey

The full development story

2020 · Company Founded

Spark Union Capital was founded in 2020. Its early development was built on a professional team with Wall Street trading and asset management experience.

The company primarily provided multi-asset capital management services to high-net-worth clients, family offices, trust institutions and fund companies.

2020–2022 · Strengthening Risk Management

From 2020 to 2022, global markets experienced the pandemic liquidity crisis, economic reopening, high inflation and rapid interest-rate increases.

Across these market cycles, the company continued to strengthen position management, liquidity management, counterparty reviews, strategy diversification and drawdown controls.

2023 · Launching the AI Asset Management Strategy

In 2023, Spark Union Capital officially launched its AI asset management strategy, progressively building computing infrastructure, financial databases, quantitative strategy platforms and automated risk management systems.

Strategies are continuously selected and improved through historical backtesting, out-of-sample testing, simulation, stress testing and small-scale live trading.

2026 · Spark One Officially Launched

Spark One officially launched in 2026. It standardizes and digitalizes Spark Union Capital’s accumulated professional trading capabilities, asset management experience, AI strategy systems and risk controls.

Quantitative managed-account capabilities that previously primarily served institutions and high-net-worth clients can now support a broader global base of individual users.

The historical net asset value records of the relevant combined strategies show a maximum drawdown of 13% during the measurement period. Market volatility is real. The company continues to improve risk alerts, dynamic position reduction, strategy suspension and extreme-market responses.

Larger capital: asset protection, liquidity and long-term stability. Smaller capital: efficient use of funds. Different product goals. The same risk management standards.

01

Company Overview

SPARK UNION CAPITAL is a global asset management platform headquartered in Colorado, USA. We integrate multi-asset investment strategies, AI-driven quantitative systems, and digital asset infrastructure to deliver institutional-grade financial solutions worldwide.

SPARK UNION CAPITAL INC. was founded in 2020 and is headquartered in Colorado, USA. It is an international capital management institution focused on multi-asset investment and fintech innovation.

Positioned within global financial markets, the company builds a multi-strategy collaborative investment system around core asset classes including precious metals, foreign exchange, equities, and digital assets. Through artificial intelligence and data-driven technology, it continuously optimizes investment decisions and trading execution efficiency.

Amidst complex and evolving macro environments and the rapidly advancing digital financial system, SPARK UNION CAPITAL has gradually formed a business structure centered on derivatives investment, AI quantitative trading, and asset digitalization. Through systematic methodologies and continuous iteration of technological capabilities, the company is committed to achieving stable operations and long-term value creation across different market cycles.

As a technology-driven asset management institution, the company views investment as a systematic engineering discipline, emphasizing the organic integration of research, execution, and risk control, while continuously promoting the convergence and development of traditional finance and digital finance.

02

Mission & Vision

Our mission is to reshape the global asset management landscape through intelligence and scale. We envision a future where advanced technology and disciplined risk management create sustainable value for institutional partners across all markets.

Through the deep integration of technology and capital, enhance global asset management efficiency and build a more intelligent, transparent, and sustainable investment system.

Our Vision

To become a globally leading multi-asset quantitative investment platform and digital financial infrastructure provider, driving structural upgrades in asset management worldwide.

Core Philosophy

Long-termism

Conduct asset allocation and strategy construction from a cross-cycle perspective

Risk First

Prioritize risk control and capital protection in all investment decisions

Data-driven

Use data and models as the foundation to reduce biases from subjective judgment

Systematic Execution

Enhance decision consistency through standardized processes and automated systems

03

Compliance & Regulation

We maintain rigorous compliance standards across multiple jurisdictions, ensuring every operation meets the highest regulatory requirements. Our compliance framework is built on transparency, accountability, and proactive risk management.

MSB registration is not an investment licence or regulatory endorsement. A corporate filing is not proof of current operating status.

MSB registration document

FinCEN · Money Services Business

Corporate filing document

MSB registration is not an investment licence or regulatory endorsement. A corporate filing is not proof of current operating status.

Compliance Framework

  • KYC (Know Your Customer) System
  • AML (Anti-Money Laundering) Monitoring Mechanism
  • Trading Behavior Surveillance System
  • Capital Flow Review & Risk Assessment Mechanism

Compliance Philosophy

We believe that compliance is not only a prerequisite for conducting business but also the foundation for long-term development. Against the backdrop of continuously evolving global regulatory environments, the company will continue to strengthen compliance capabilities to ensure the normativity, transparency, and sustainability of business operations.

MSB registration is not an investment licence or regulatory endorsement. A corporate filing is not proof of current operating status.

Adapted from the company’s previous website. Business descriptions and regional plans are company disclosures; scope and reporting dates remain to be confirmed.

Team preview

Expertise working together

Market research, technology, risk management and user services work together to support the platform.

These names and portraits are fictional previews. The functions illustrate team collaboration and do not represent actual company leaders or employees.

Preview portrait: Evan Brooks
Investment research

Evan Brooks

Multi-asset market observation, research frameworks and strategy collaboration.

Team preview
Preview portrait: Maya Chen
Quant & technology

Maya Chen

Data infrastructure, quantitative research and systems collaboration.

Team preview
Preview portrait: Daniel Reed
Risk management

Daniel Reed

Risk monitoring, stress scenarios and process coordination.

Team preview
Preview portrait: Olivia Bennett
Global user services

Olivia Bennett

Multilingual communication, user support and community coordination.

Team preview