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Freemont Capital
Freemont Capital is an asset management company based in Singapore. It operates in the financial sector, managing investments in industrial listed equities and...
Freemont Capital
Freemont Capital is an asset management company based in Singapore. It operates in the financial sector, managing investments in industrial listed equities and private equity portfolios. The company has made one investment, in Road Power Systems, as part of a Seed VC deal on September 1, 2019.
General information
Firm type
Generalist
Year founded
2015
Location
Region
Asia
Country
Singapore
City
Singapore
Corporate office
Singapore
Frequently asked questions
What is known about Freemont Capital's investment strategy?
The firm is classified as a generalist asset manager based in Singapore, suggesting a mandate that spans multiple asset classes. However, no strategy details, asset allocation targets, or investment memos are publicly available, making it impossible to characterize its actual deployment posture from public records.
Who runs Freemont Capital?
No named principals, directors, or investment staff are associated with Freemont Capital in public filings, press, or professional networks. The firm has no LinkedIn presence and no executive bios in any accessible source.
Is Freemont Capital regulated by the Monetary Authority of Singapore?
The firm's regulatory status is not confirmed through publicly accessible MAS registers or notices. Many Singapore-based asset managers serving exclusively institutional or accredited investors operate under exemptions that limit public disclosure obligations.
Does Freemont Capital accept outside capital?
There is no public indication that Freemont Capital raises capital from external investors. The firm maintains no marketing presence, website, or investor portal — characteristics typical of a vehicle managing proprietary or family-affiliated assets.
What geographies does Freemont Capital invest in?
As a Singapore-domiciled generalist, the firm is positioned to invest across Southeast Asia and broader Asian markets, as well as developed-market securities. Without portfolio disclosure, specific geographic exposures remain unknown.
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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