Oclaner Asset Management is a Singapore-based independent asset management company and multi-family office. We are licensed and regulated by the Monetary Authority of Singapore (MAS) and hold the Capital Markets License for Fund Management (CMS100167-3).
High-net-worth individuals, families and institutions trust us to generate investment performance in line with their objectives while keeping low levels of volatility and actively managing downside risk. We are independent from any third party. Our Investment Team is composed of seasoned analysts and managers with institutional backgrounds and strong expertise in both developed and emerging markets.
Oclaner has been voted the Best Fund Manager in Asia at the WealthBriefing Asia Awards 2017.
OUR SERVICES INCLUDE
Discretionary mandates: We construct and manage the client’s portfolio according to the guidelines pre-determined with the client who delegates the ultimate investment decision to us.
Advisory mandates: We provide active advice on the most suitable investment strategy and manage the portfolio hand-in-hand with the client, who will retain the ultimate investment decision.
Fund management: We manage our UCITS V compliant Luxembourg SICAV covering multiple asset classes. In addition, we provide white labelling solutions upon request.
Consolidation & Reporting: For multiple accounts’ holders held at different banks, we consolidate positions across all accounts into a single report which allows you to monitor the overall asset allocation and total portfolio risk.
Marketing & Comms Manager