Asset Manager

Updated:

Grand China Fund

Grand China Fund is a fund manager based in Beijing, China. It employs a Venture Capital strategy. The firm has 8 staff members, including 3 investment...

Grand China Fund logo

Grand China Fund

Grand China Fund is a fund manager based in Beijing, China. It employs a Venture Capital strategy. The firm has 8 staff members, including 3 investment professionals.

General information

Firm type

Generalist

Year founded

2017

AUM

Undisclosed

Location

Region

Asia

Country

China

City

Beijing

Corporate office

Beijing, China

Frequently asked questions

Who runs investment decisions at Grand China Fund?

The fund has not publicly disclosed any principals, investment committee members, or key decision-makers. Its website contains no team page or professional biographies, and no leadership names appear in English-language business registries or financial media.

What is the fund's known track record?

Grand China Fund has no publicly named portfolio companies, disclosed exits, or published return metrics. Allocators evaluating the manager would need to request a track record directly through private channels, as no independent performance data exists.

How does Grand China Fund source its deals?

The firm's deal-sourcing methodology is not described in any public material. Given its Beijing location and seed-stage focus, it likely relies on founder networks and local ecosystem relationships, but this cannot be confirmed without direct disclosure.

Is Grand China Fund raising outside capital?

There is no public regulatory filing, press release, or media report indicating an active fundraise. The firm's website does not include investor relations materials, subscription documents, or contact details for prospective limited partners.

What fund structure does Grand China Fund use?

No fund structure, vehicle domicile, or legal entity type is publicly disclosed. Without a private placement memorandum or corporate filing, allocators cannot assess whether the firm operates as a commingled fund, a series of SPVs, or a managed account platform.

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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