Bank / Wealth / Trust

Updated:

Core Pacific - Yamaichi Wealth Management Group

Core Pacific - Yamaichi Wealth Management Group is a bank / wealth / trust based in Hong Kong, founded 1969; the Altss profile covers its classification,...

Core Pacific - Yamaichi Wealth Management Group logo

Core Pacific - Yamaichi Wealth Management Group

Wealth Manager

General information

Firm type

Bank / Wealth / Trust

Year founded

1969

AUM

Undisclosed

Location

Region

Asia

Country

Hong Kong

City

Hong Kong

Corporate office

Hong Kong, Hong Kong

Frequently asked questions

What is the relationship between Core Pacific and the Yamaichi name?

The Yamaichi name traces back to Yamaichi Securities, a major Japanese brokerage that failed in 1999. Core Pacific, a financial services group with Taiwanese backing, acquired the rights to the Yamaichi brand and certain Asian client relationships. The wealth management group operates as the private-client and asset-management division under this combined brand.

Does the group disclose its assets under management?

Core Pacific - Yamaichi Wealth Management Group does not publicly report assets under management. Public filings and the firm's website do not provide a current AUM figure.

Where does the group source its clients and deal flow?

Clients are primarily families and institutions from Hong Kong, mainland China, Taiwan, and Japan. Deal flow is often sourced through the parent group's brokerage and corporate-finance operations, which maintain origination networks across the same region.

Is the group structured as a single-family office or a wealth manager?

It is structured as a wealth manager rather than a single-family office. The group serves multiple external clients and sits within a regulated financial holding company that also operates securities brokerage and corporate advisory businesses across Asia.

What asset classes does the group allocate to?

The group manages discretionary portfolios that span equities, fixed income, and alternative investments. The exact weighting or specific fund commitments are not publicly broken out.

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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