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Ghi Asset Management
Ghi Asset Management is a asset manager based in Shenzhen, founded 2004; the Altss profile covers its classification, headquarters, registration, AUM band, and...
Ghi Asset Management
Ghi Asset Management is a Shenzhen, China-based investment company that focuses on Venture Capital strategies.
General information
Firm type
Generalist
Year founded
2004
Location
Region
Asia
Country
China
City
Shenzhen
Corporate office
Shenzhen, China
Sector focus
Frequently asked questions
Who runs investment decisions at Ghi Asset Management?
Leadership at Ghi Asset Management is not publicly disclosed. The firm does not list its principals on public channels. Co-investment patterns suggest a collaborative decision-making process with partners like Fosun Venture Capital and Sequoia Broadband Fund.
How does Ghi Asset Management source proprietary deal flow?
Ghi relies on co-investment relationships with established Chinese institutions. For example, it co-invested in Ennocad alongside Fosun Venture Capital, Sequoia Broadband Fund, and Chengdu High-Tech Investment. This network provides access to deals, though the firm's independent sourcing is not documented.
Is Ghi Asset Management structured as a single family office or a venture firm?
Ghi Asset Management is categorized as an asset manager with a generalist strategy, not a family office. Its investment approach spans venture capital and growth equity, and it participates in co-investments typical of institutional investors.
Does Ghi Asset Management invest in fund commitments or only direct deals?
Available public records show Ghi primarily engages in direct co-investments alongside known partners. There is no evidence of fund-of-funds or primary fund commitments. The firm's known co-investments include Ennocad and Sinosemic.
What investment stages does Ghi Asset Management typically target?
The firm targets a range from early-stage seed and startup rounds to expansion and late-stage growth. This is based on its recorded strategy classifications, though specific stage preferences are not quantified publicly.
Which sectors does Ghi Asset Management explicitly avoid?
Publicly available information does not list sectors Ghi avoids. Its disclosed co-investments appear in technology and industrial areas, but a formal exclusion list is absent.
How is Ghi Asset Management related to Greystone Housing Impact Investors LP?
Ghi Asset Management shares the ticker GHI with Greystone Housing Impact Investors LP, a US-based loan asset manager. The relationship is described as a potential business partner via loan asset management operations in Irving, Texas. No further details are public.
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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