Asset ManagerRIA · CRD 313244SEC-RegisteredPrivate Fund Adviser

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BRIMSTONE ASSET MANAGEMENT COMPANY LIMITED

Brimstone Asset Management Company Limited is an SEC-registered investment adviser in Hong Kong, registered since 2021. The firm manages approximately $8...

BRIMSTONE ASSET MANAGEMENT COMPANY LIMITED

Brimstone Asset Management Company Limited is an SEC-registered investment adviser in Hong Kong, registered since 2021. The firm manages approximately $8 million in regulatory assets. It has 6 employees and 3 investment advisers.

General information

Firm type

Asset Manager

Frequently asked questions

What is known about BRIMSTONE ASSET MANAGEMENT COMPANY LIMITED's investment strategy?

No public information exists describing the firm's investment strategy. There are no disclosed asset-class preferences, stage focuses, or portfolio holdings. The name suggests asset management, but the firm has not published a website or marketing materials outlining its approach.

Who runs BRIMSTONE ASSET MANAGEMENT COMPANY LIMITED?

No named principals, directors, or investment professionals are publicly associated with the firm. Hong Kong corporate registry records may list directors, but those details are not accessible via standard public sources. The firm has no LinkedIn or other professional network profile.

Where is BRIMSTONE ASSET MANAGEMENT COMPANY LIMITED headquartered?

The firm is registered in Hong Kong, a global financial hub and common jurisdiction for family offices. No specific street address or office location has been publicly confirmed.

Is BRIMSTONE ASSET MANAGEMENT COMPANY LIMITED a family office?

The firm's limited liability company structure and Hong Kong registration are consistent with a single-family office or private investment vehicle. However, without disclosed wealth origin, principals, or AUM, its exact classification remains unknown. It may also be a dormant entity or a fund manager with no active operations.

Does BRIMSTONE ASSET MANAGEMENT COMPANY LIMITED make direct investments or allocate to funds?

There is no evidence of direct investments or fund allocations by the firm. No portfolio companies, co-investments, or GP relationships have been reported. The firm's investment activity — if any — is not publicly observable.

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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