About Us

About Us

About Us

DSI Capital

Founded in 2016, DSI Capital was built to give everyday investors access to the kind of insights typically reserved for institutional desks. Our team brings decades of trading experience and market intelligence to the table, shaped by real-world performance, not theory. DSI doesn’t sell hype or hollow forecasts, just clear, timely observations backed by deep research and industry contacts. Our aim is to provide traders and investors with actionable market insights, grounded guidance, and the tools to make sharper, more confident decisions.

Danny

Danny is one of our head analysts and he has served as a director of DSI for 7 years. He has a bachelor’s degree in Psychology and an MBA from Manchester University. Danny has been trading and investing since high school and now has over a decade of market experience across bull runs, crashes, and everything in between. During the COVID crash and recovery, Danny made some of the best trades by reading both the numbers and the emotional pulse of the market, backed by deep, in-depth analysis of how COVID was affecting global markets. His approach combines fundamental analysis, technical setups, and a deep understanding of market psychology. Danny actively trades everyday and shares the signals of his trades to show what he’s actually doing rather than just theoretical insights.

Dr. Ben Lin

Ben serves as our Chief Asset Allocation and Macro Strategy Analyst. He holds a Ph.D. in Economics and previously worked at one of China’s largest fund management companies, where he held various roles including Macroeconomic Analyst, Head of Macro Strategy Research, Fund Manager, Assistant General Manager of the Research Department, and Member of the Asset Allocation Committee. He possesses extensive and outstanding experience in global macroeconomic analysis and strategic asset allocation.

The fund products managed by Dr. Ben have consistently outperformed their benchmarks over the long term. Notably, the Chinese financial sector fund under his management has achieved industry-leading status in terms of fund size and cumulative performance. He excels in integrating top-down and bottom-up investment research frameworks, enabling him to provide professional research and analysis across a wide range of macro asset classes, including equities, bonds, gold, and foreign exchange.