Asset ManagerRIA · CRD 317052SEC-RegisteredPrivate Fund Adviser

Updated:

GRAIAN CAPITAL MANAGEMENT SA

GRAIAN CAPITAL MANAGEMENT SA is an SEC-registered investment adviser in Lugano, Ticino, since 2021. The firm is based in Lugano, Ticino. It has been registered...

GRAIAN CAPITAL MANAGEMENT SA

GRAIAN CAPITAL MANAGEMENT SA is an SEC-registered investment adviser in Lugano, Ticino, since 2021. The firm is based in Lugano, Ticino. It has been registered with the SEC since 2021.

General information

Firm type

Asset Manager

Frequently asked questions

What is GRAIAN CAPITAL MANAGEMENT SA's investment strategy?

GRAIAN CAPITAL MANAGEMENT SA does not publicly disclose its investment strategy. As a Swiss asset manager, it likely offers discretionary portfolio management and bespoke asset allocation for institutional and private clients, but specifics are unknown.

Who runs investment decisions at GRAIAN CAPITAL MANAGEMENT SA?

The firm does not list named principals, CIOs, or investment committee members in public sources. This is consistent with many Swiss entities that operate under strict privacy norms.

Is GRAIAN CAPITAL MANAGEMENT SA a single-family office?

Public records classify GRAIAN CAPITAL MANAGEMENT SA as an asset manager, not a family office. However, without detailed filings, its exact client structure is unclear.

What is GRAIAN CAPITAL MANAGEMENT SA's AUM?

The firm has not publicly reported assets under management. AUM is classified as Undisclosed.

How does GRAIAN CAPITAL MANAGEMENT SA source deals?

The firm's sourcing model is not publicly documented. Swiss asset managers often rely on in-house research, third-party managers, and direct relationships, but no specifics apply here.

Which sectors does GRAIAN CAPITAL MANAGEMENT SA focus on?

No sector preferences have been publicly identified for the firm. Sector tags are absent.

Does GRAIAN CAPITAL MANAGEMENT SA have any known affiliations or related entities?

No publicly known affiliations, parent entities, or spinouts have been associated with the firm.

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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