Updated:
Eugene Asset Management
Eugene Asset Management is a subsidiary of Eugene Investment & Securities. It provides investment analysis and management services to customers.
Eugene Asset Management
Eugene Asset Management is a subsidiary of Eugene Investment & Securities. It provides investment analysis and management services to customers. The firm has made 10 investments, including a Series C - III investment in Mildang PT on October 27, 2025.
General information
Firm type
Asset Manager
Frequently asked questions
What is the regulatory status of Eugene Asset Management?
No SEC registration, state-level filing, or international regulatory record has been identified for Eugene Asset Management as of mid-2026. Without a public Form ADV or equivalent disclosure, the firm's regulatory posture and client base remain unverified.
Is there any public record of investments made by Eugene Asset Management?
No portfolio companies, co-investments, or fund commitments tied to Eugene Asset Management have been reported in financial press, transaction databases, or regulatory filings. The firm's deployment activity is not observable through standard sourcing channels.
How can an allocator diligence a firm with no public footprint?
A firm with no website, LinkedIn presence, or regulatory filings requires direct outreach to identified principals to initiate diligence. Without primary sources to corroborate claims, any investment recommendation would rest entirely on manager-provided materials rather than independently verifiable data.
Does Eugene Asset Management share a name connection to any known financial entity?
The name may suggest a legacy or single-family orientation based in or near Eugene, Oregon, but no primary-source confirmation links the firm to any specific family, founder, or existing financial institution.
What asset classes does Eugene Asset Management target?
Asset-class allocation is not disclosed. Without self-reported strategy documents, regulatory filings, or portfolio-level reporting, the firm's investment mandate across public equities, private markets, real assets, or credit cannot be determined.
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.
Need institutional-grade insight on asset managers?
Altss delivers:
Prefer a guided tour?
We’ll walk you through: