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Alpha Grep Securities
Alpha Grep Securities was established as an asset manager with a multi-office footprint spanning Palo Alto, Seoul, and Hong Kong. The firm's investment...
Alpha Grep Securities
Alpha Grep Securities was established as an asset manager with a multi-office footprint spanning Palo Alto, Seoul, and Hong Kong. The firm's investment strategy covers direct equity and co-investment opportunities across technology and real estate. Confirmed sector focuses include fintech, enterprise software, AI/ML, and cybersecurity, with real estate investments complementing the tech portfolio. Target stages are not specified, but the geographic breadth implies both growth-stage and later-stage deal flow. No publicly identified portfolio companies or specific deal values appear in available sources. No team size, additional investment vehicles, or philanthropic structures have been disclosed. A structural differentiator for Alpha Grep is its explicit Asia-US bridge model, which positions it to capture cross-border deal flow and provide capital access for US firms entering Asian markets or vice versa. Without public disclosures on AUM, principals, or specific transactions, the firm remains opaque, limiting external verification of its scale and performance.
General information
Firm type
Market Making
Year founded
2002
Location
Region
North America
Country
United States
City
Palo Alto
Corporate office
Palo Alto, CA, United States
Additional offices
Seoul · Hong Kong
Sector focus
Frequently asked questions
What is Alpha Grep Securities' investment focus?
Alpha Grep Securities targets technology sectors including fintech, enterprise software, AI/ML, and cybersecurity, alongside real estate investments. The firm operates on a cross-border basis between North America and Asia.
Where is Alpha Grep Securities headquartered?
The firm maintains offices in Palo Alto, California; Seoul, South Korea; and Hong Kong. Public records do not specify a single headquarters.
What is Alpha Grep Securities' AUM?
The firm has not disclosed its assets under management in any public source. AUM remains undisclosed.
Profile maintained by Altss 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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