Goldman Sachs Asset Management (Singapore) Pte. Ltd.

RIASEC RegisteredEst. 2017
Total AUM
$13.8B
Discretionary
$13.8B
100% of AUM
Avg account
$530M
Accounts
26
Employees
86
Advisory reps
4

Firm details

Headquarters
Singapore,
CRD number
286067
Registered since
September 21, 2017
Custodians
THE NORTHERN TRUST INTERNATIONAL BANKING CORPORATION
Fee structure
Percentage of AUM, Performance Based Fees, Other
Client types
  • Pooled Investment Vehicles54.67%
  • Sovereign Wealth Funds34.03%
  • State / Municipal Government7.29%
  • Banking / Thrift Institutions2.48%
  • Corporations / Businesses1.51%
Services
Portfolio Management for IndividualsPortfolio Management for Pooled Investment VehiclesPortfolio Management for Institutional ClientsSelection of Other AdvisersEducational Seminars / Workshops

Firm profile

FINTRX

Overview

Goldman Sachs Asset Management (Singapore) Pte. Ltd. operates as an institutional capital allocator and registered adviser (SEC registration year 2017) focused on portfolio management across a range of client types. Its client base is institutional, and the firm charges both percentage-of-AUM and performance-based fees while also offering additional fee arrangements. It provides portfolio management for individuals/small businesses, pooled investment vehicles, and businesses or institutions, and it engages in manager selection and educational programming. The firm is identified as a Commodity Pool Operator/Commodity Trading Advisor (CPO/CTA) and is flagged as an active ESG investor. Regulatory and industry affiliations are broad: the firm maintains relationships and registrations consistent with broker-dealer activity, municipal advisory, security-based swap dealing, futures commission merchant services, banking/thrift and trust company activities, insurance-company affiliations, pension consulting, and sponsorship or GP/manager roles for pooled vehicles. That mix suggests it both manages asset allocations directly and sources external managers and vehicles for institutional mandates.

Assets & Accounts

Investments & Alternatives

Location & Offices

Investment profile

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Traditional investments used

Alternative investments used

Active ESG investor

Technology & operations

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CRM & tech providers

TAMPs used

Clients

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Client base

Client personas

Asset composition

Asset composition: US Government Bonds 51%, Exchange Traded Equities 16%, Investment Grade Corp Bonds 14%, Sovereign Bonds 13%, State & Local Bonds 2%, Cash & Cash Equivalents 2%, Non-Investment Grade Corp Bonds 1%, Derivatives 1%, Other 1%51%
  • US Government Bonds51%
  • Exchange Traded Equities16%
  • Investment Grade Corp Bonds14%
  • Sovereign Bonds13%
  • State & Local Bonds2%

Owners & executives

3 of 3
  • Sze Chan

    Sze Chan

    Managing Director and Chief Executive OfficerCRD 6884970

  • Judith Shandling

    Chief Compliance OfficerCRD 5775386

  • Fabio Tramontano

    Fabio Tramontano

    Chief Operating OfficerCRD 7002928

Contacts

1 of 1
  • Som Krishna

    Managing DirectorCRD 8141617

Wealth teams

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Newly hired reps

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Recent M&A activity

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Recent filings

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Awards

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Location

Primary office

Singapore, null

Location

Singapore, null

Headquartered in Singapore, null.

Address
1 Raffles Link
Office locations

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Source: FINTRX private wealth data intelligence

Intelligence for Private Wealth