other names
{{ Info.Overview }}
Revenue {{ Info.Revenue | formatUSD }}
Headquarters {{ Info.Headquarters }}

Adviser Profile

As of Date 03/21/2024
Adviser Type - Large advisory firm
- Outside the United States
Number of Employees 62 26.53%
of those in investment advisory functions 27 -3.57%
Registration SEC, Approved, 2/11/2019
Other registrations (2)
AUM* 11,886,048,130 29.50%
of that, discretionary 3,195,638,130 60.10%
Private Fund GAV* 3,021,576,749 29.20%
Avg Account Size 185,719,502 17.36%
% High Net Worth 46.88% -12.30%
SMA’s Yes
Private Funds 15 1
Contact Info 65 xxxxxxx
Websites

Client Types

- High net worth individuals
- Pooled investment vehicles

Advisory Activities

- Portfolio management for individuals and/or small businesses
- Portfolio management for pooled investment vehicles
- Portfolio management for businesses

Compensation Arrangments

- A percentage of assets under your management
- Performance-based fees

Recent News

Reported AUM

Discretionary
Non-discretionary
7B 6B 5B 4B 3B 2B 1B
2018 2019 2020 2021 2022 2023

Private Funds



Employees

Private Funds Structure

Fund Type Count GAV
Fund TypeHedge Fund Count2 GAV$55,493,793
Fund TypePrivate Equity Fund Count7 GAV$2,679,786,017
Fund TypeReal Estate Fund Count6 GAV$286,296,939

Similar advisers

Adviser Hedge Fund Liquidity Fund Private Equity Fund Real Estate Fund Securitized Asset Fund Venture Capital Fund Other Fund Total Private Fund GAV AUM #Funds
Adviser WCM GLOBAL WEALTH, LLC Hedge Fund8.6m Liquidity Fund- Private Equity Fund1.5m Real Estate Fund183.6m Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV193.7m AUM245.4m #Funds9
Adviser LEE FINANCIAL COMPANY, LLC Hedge Fund12.4m Liquidity Fund- Private Equity Fund543.3k Real Estate Fund766.3k Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV13.7m AUM1.3b #Funds12
Adviser KAWA CAPITAL MANAGEMENT, INC. Hedge Fund1.7b Liquidity Fund- Private Equity Fund10.3m Real Estate Fund517.5m Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV2.2b AUM2.9b #Funds14
Adviser MERCHANTS ASSET MANAGEMENT LLC Hedge Fund- Liquidity Fund- Private Equity Fund394.2m Real Estate Fund456.3m Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV850.5m AUM882.5m #Funds3
Adviser GREENWOOD GEARHART INC. Hedge Fund- Liquidity Fund- Private Equity Fund3.1m Real Estate Fund1.5m Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV4.6m AUM1.1b #Funds2
Adviser NEW FORESTS INC. Hedge Fund- Liquidity Fund- Private Equity Fund47.9m Real Estate Fund509.7m Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV557.6m AUM633.6m #Funds5
Adviser RMWC Hedge Fund68.0m Liquidity Fund- Private Equity Fund1.4m Real Estate Fund404.0m Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV473.4m AUM519.0m #Funds5
Adviser SYNTAL CAPITAL PARTNERS, LLC Hedge Fund- Liquidity Fund- Private Equity Fund27.9m Real Estate Fund32.4m Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV60.3m AUM60.3m #Funds5
Adviser SWBC INVESTMENT COMPANY Hedge Fund- Liquidity Fund- Private Equity Fund3.0m Real Estate Fund123.6m Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV126.6m AUM345.8m #Funds2
Adviser CITIGROUP ALTERNATIVE INVESTMENTS LLC Hedge Fund- Liquidity Fund- Private Equity Fund177.4m Real Estate Fund23.1m Securitized Asset Fund- Venture Capital Fund- Other Fund- Total Private Fund GAV200.5m AUM312.0m #Funds8

Brochure Summary

Overview

4A) Gordian Capital Singapore Private Limited (“Gordian Capital”, “We”, the “Firm” or the “Adviser”) is an asset management firm headquartered in Singapore. Gordian Capital was established in Singapore on December 17 2005, as a Private Company Limited by Shares with a Unique Entity Number 200517499Z. Gordian Capital is a fully licensed and regulated asset management firm in Singapore, its regulator is the Monetary Authority of Singapore and it holds a Capital Markets Securities License: CMS100394-1. Gordian Capital has operated as an SEC exempt reporting advisor since August 2017, and in February 2019 became a Registered Investment Adviser with the Securities and Exchange Commission. Gordian Capital Singapore Private Limited is 100% owned by Gordian Capital Limited (Cayman). The principal owners are Stanley Howard and Mark R. Voumard. There are 4 other individual investors who own less than 10% each of Gordian Capital Limited (Cayman). Gordian Capital is managed by Mr. Mark R. Voumard who is the Chief Executive Officer, three Executive Directors and one Non-Executive Director. They form Gordian Capital’s Board of Directors. 4B) Gordian Capital provides investment management services which include fund establishment, operations management, fund structuring, portfolio management and risk management. Gordian Capital provides these investment management services to a variety of clients including investment professionals, financial institutions, family offices, corporate entities and high-net-worth individuals. Services offered by Gordian Capital include Fund Platform, Fund Solutions and Separately Managed Accounts (“SMA”). Fund Platform – Gordian Capital’s Fund Platform offering is targeted at experienced investment professionals. Under the Fund Platform, Gordian Capital provides an investment professional with a regulated, physical and operational fund infrastructure and handles the business, legal, compliance, accounting, risk and operational management of a fund. This allows the investment professional (either an internal Portfolio Manager or External Advisor) to be able to divert all their resources and attention towards investing and achieving their desired portfolio outcome. Gordian Capital caters for liquid (e.g. long only, equity long short, global macro, CTA, asset back securities and private credit) and illiquid (e.g. private equity, venture capital and real estate) strategies. Gordian Capital has established several fund structures which include unit trusts, corporate vehicles, limited partnerships, flow-through vehicles, managed accounts and multi-currency funds. The client base for funds on our platform primarily comprises institutional investors, corporate entities banks, and high net worth individuals. Fund Solutions – Gordian Capital’s Fund Solutions offering allows institutional asset managers, corporate entities and institutional investors to access
investment opportunities via regulated & tax efficient investment vehicles. These vehicles include special purpose vehicles and flow through structures in Singapore or other jurisdiction-domiciled funds and various other customised investment schemes. We structure and operate investment vehicles that allow institutional asset managers, both Asian and international, to execute their investment strategies, primarily with a focus on Asian markets, in a flexible, timely and cost-efficient manner. SMAs – Gordian Capital’s SMA offering caters to private clients including high net worth individuals & family offices, who wish to invest via SMAs. The Portfolio Manager would implement the relevant investment strategy depending on the investment objectives of the client. The assets under management for Gordian Capital can be attributed mainly to the Fund Platform and Fund Solutions offerings, with only a small percentage in SMAs. Additional information about Gordian Capital and its Supervised Persons be obtained by visiting Gordian Capital’s website (https://gordian- capital.com) or via email at info@gordian-capital.com. 4C) For funds, clients are provided with a copy of the offering documents which includes the investment objective, investment strategy, investment restrictions, fees and expenses, details of Gordian Capital and the fund’s service providers, determination of net asset value, financial information, taxation and regulatory matters. Clients can decide whether or not to invest based on the information set out in the offering documents. For SMAs, clients can decide on the services based on factors such as investment goals, time horizon, and risk tolerance depending on whether they are an individual or institutional client. Clients can also, at their discretion, impose restrictions on investing in certain securities or types of securities, depending on their risk appetite. Overall, Gordian Capital seeks to provide investment management services and solutions that are made in accordance with its fiduciary obligations owed to its clients and without consideration of Gordian Capital’s economic, investment or other financial interests. In addition, to meet its fiduciary obligations, Gordian Capital does not manage its own proprietary funds or capital. 4D) Gordian Capital does not participate in any wrap fee programs. 4E) Gordian Capital has approximately US$11,886,050,000.00 of assets under management as of December 31, 2023. Gordian Capital Manages US$3,195,638,130.00 on a discretionary basis and US$8,690,410,000.00 on a non-discretionary basis.