Asset Manager

Updated:

AKSIA SGR S.P.A.

AKSIA SGR S.P.A. is an Italian SGR managing alternative investment funds in real estate and infrastructure, regulated by the Bank of Italy. Based in Milan.

AKSIA SGR S.P.A.

AKSIA SGR S.P.A. is an Italian asset management company authorized as a SGR — a reserved legal category under EU and Italian law — that originates, manages, and distributes alternative investment funds. Its founding date and principal operators are not publicly detailed, but the firm's Milan headquarters signals a focus on the Italian institutional market. The firm's investment strategy centers on real estate and infrastructure, with a documented emphasis on closed-end funds for institutional investors. It targets the Italian peninsula primarily, with selective participation in broader European opportunities. SGRs in Italy typically operate across private debt, real estate, and infrastructure, though AKSIA's specific sector mix remains partially transparent. Team size, additional offices, and AUM are not disclosed in public filings. Italian SGRs with real estate and infrastructure mandates often have a lean operational structure, relying on external asset sourcing and partnership models. No recent operational event from the last 24 months is publicly verifiable. AKSIA's structural differentiator is its regulated SGR status, which subjects it to Bank of Italy oversight on fund creation, investor protection, and capital adequacy. This framework is typical for Italian asset managers targeting institutional capital, providing a layer of regulatory due diligence for limited partners.

General information

Firm type

Asset Manager

Year founded

AUM

Undisclosed

Location

Region

Europe

Country

Italy

City

Milan

Corporate office

Milan, Italy

Sector focus

Real EstateInfrastructurePrivate Credit

Frequently asked questions

What is a SGR and how does AKSIA SGR S.P.A. operate within that framework?

A SGR (Società di Gestione del Risparmio) is an Italian regulated asset management company authorized by the Bank of Italy to manage collective investment schemes. AKSIA SGR S.P.A., as a SGR, can originate, manage, and distribute alternative investment funds, primarily closed-end funds for institutional investors. This regulatory structure imposes specific capital, governance, and transparency requirements.

What types of assets does AKSIA SGR S.P.A. invest in?

The firm focuses on real estate and infrastructure, as typical for Italian SGRs with alternative mandates. It likely deploys capital through closed-end funds and institutional mandates, targeting the Italian market and select European opportunities. Infrastructure and private credit may also be part of its mix, though precise allocations are not publicly disclosed.

Where is AKSIA SGR S.P.A.'s office located?

The firm is headquartered in Milan, Italy. No additional office locations are publicly documented.

Who are the key principals at AKSIA SGR S.P.A.?

Named principals are not publicly disclosed in accessible records. The firm's management team is not detailed on public sources or its own materials, consistent with a low-public-profile SGR focused on institutional relationships.

Does AKSIA SGR S.P.A. disclose its AUM?

No, AUM is not publicly disclosed. The firm operates with limited public transparency, typical for smaller Italian SGRs not subject to broad reporting requirements beyond regulatory filings.

Profile maintained by using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.

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