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Close Asset Management

England Founded 1986 Website LinkedIn
Cheque Size$1M to $50M
Stages11
Industries15
Markets20
Stated Portfolio19
Operating Since1986 (40y)

About Close Asset Management

Close Asset Management is a UK-based investment management firm providing a range of investment solutions to private clients and institutions. The firm offers services in fixed income, equities, real estate, private equity, hedge funds, infrastructure, commodities, distressed and special situations, venture capital, crypto, ESG and impact investing, and collectibles & art. Their investment strategies encompass various stages, including pre-seed, seed, early stage, series A, series B, growth, late stage, pre-IPO, buyout, turnaround, and distressed investments. The firm's geographical focus spans multiple countries, including the United Kingdom, United States, Germany, France, Italy, Spain, Netherlands, Sweden, Switzerland, Australia, Canada, Japan, China, India, Brazil, South Africa, Mexico, South Korea, Singapore, and Hong Kong. Their industry focus includes technology, healthcare, financial services, consumer goods, energy, utilities, telecommunications, media, real estate, industrial goods, materials, consumer services, basic materials, transportation, and retail. Close Asset Management's investment philosophy emphasizes a diversified approach across asset classes, stages, geographies, and industries to achieve optimal returns for their clients. They are committed to responsible investing, integrating ESG factors into their investment processes to align with clients' values and long-term objectives. The firm's track record demonstrates a consistent ability to navigate complex markets and deliver value through strategic investments across various sectors and regions.

Geographical Focus

African markets1

Other stated markets19

United StatesUnited KingdomCanadaGermanyHong KongJapanAustraliaSingaporeChinaIndiaBrazilFranceItalySwitzerlandSpainMexicoSouth KoreaNetherlandsSweden

Requirements

Accredited investor status required, Compliance with UK financial regulations, Alignment with firm's investment philosophy and strategies, Commitment to responsible investing principles

Stated Portfolio19

BP
Diageo
Unilever
Glencore
British American Tobacco
Rio Tinto
Imperial Brands
AstraZeneca
GlaxoSmithKline
HSBC
Barclays
Prudential
Vodafone
Royal Dutch Shell
Tesco
Lloyds Banking Group
Standard Chartered
Reckitt Benckiser
BHP

As reported by the investor. We hold no profile for these companies, so they are printed as stated rather than linked.