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Hamon Investment Group
Hugh Simon's Hamon Investment Group has managed independent Asian equity mandates since 1989, surviving three decades of market cycles from Hong Kong.
Hamon Investment Group
Hamon Investment Group was founded in 1989 by Hugh Simon, previously a portfolio manager at Baring International Asset Management, to invest in listed Asian equities. The firm established itself as an early dedicated Asia specialist, launching its flagship Asian equity strategies during a period when the region's capital markets were still maturing. Hamon remains headquartered in Hong Kong and operates as an independent asset manager. The firm manages long-only and long/short equity mandates, concentrating on publicly listed companies across Asia Pacific. Its investment process is anchored in bottom-up, fundamental research, with a focus on high-quality businesses trading at sensible valuations. The portfolio spans multiple geographies, including Greater China, Korea, Taiwan, and ASEAN markets. Sector coverage has historically included financials, technology, consumer, and industrial names, reflecting the composition of Asian stock indices. Hamon Investment Group serves institutional investors, including pension funds, endowments, and family offices seeking dedicated Asian equity exposure. The firm's longevity — exceeding three decades — distinguishes it from many Asia-focused boutiques that launched and closed during the 1990s and 2000s. Hugh Simon remains the key investment decision-maker, providing continuity across market cycles, including the 1997 Asian Financial Crisis and the 2008 Global Financial Crisis. The firm operates as an owner-managed investment boutique, a structural posture that aligns principals with fund performance. Unlike large bank-owned platforms or state-linked entities, Hamon's independence allows it to maintain concentrated, conviction-weighted portfolios without distributor conflicts. Succession planning and the next generation of investment leadership remain the central governance question for a firm whose franchise is closely tied to its founder's track record.
General information
Firm type
Asset Manager
Year founded
1989
AUM
Undisclosed
Location
Region
Asia
Country
Hong Kong
City
Hong Kong
Corporate office
Hong Kong, Hong Kong
Principals
Hugh Simon
Founder & Chief Executive Officer
Sector focus
Frequently asked questions
Who runs investment decisions at Hamon Investment Group?
Hugh Simon, the firm's founder, serves as Chief Executive Officer and is the key decision-maker for the investment strategies. He established the firm in 1989 after leaving Baring International Asset Management, where he was a portfolio manager. Investment decisions are driven by a bottom-up, fundamental research approach.
What investment strategies does Hamon Investment Group offer?
The firm manages long-only and long/short equity strategies focused on listed companies across Asia Pacific markets. Mandates cover multiple geographies, including Greater China, Korea, Taiwan, and ASEAN countries. The process is anchored in bottom-up stock selection targeting high-quality businesses.
How is Hamon Investment Group structurally different from bank-owned asset managers in Hong Kong?
Hamon operates as an independent, owner-managed boutique, founded and still led by Hugh Simon. This structure avoids the product-distribution conflicts common in large financial conglomerates and state-linked entities. The firm can maintain concentrated, conviction-based portfolios without pressure to gather assets for a parent balance sheet.
What type of clients does Hamon Investment Group serve?
Hamon's client base consists of institutional investors, including pension funds, endowments, and family offices seeking dedicated, specialist Asian equity mandates. The firm does not publicly disclose its total assets under management.
How long has Hamon Investment Group been operating?
Hamon Investment Group was founded in 1989 by Hugh Simon, giving it over three decades of continuous operation. This makes it one of the longest-running independent Asian equity managers, having navigated multiple full market cycles, including the 1997 Asian Financial Crisis and the 2008 Global Financial Crisis.
What geographic markets does Hamon Investment Group cover?
The firm invests across the Asia Pacific region. Portfolio exposure has historically included Greater China, Korea, Taiwan, and ASEAN markets, reflecting the broad composition of Asian stock exchanges and the bottom-up opportunity set.
Does Hamon Investment Group invest in private markets?
Hamon concentrates on liquid, publicly listed Asian equities across its long-only and long/short mandates. There is no public indication of dedicated private-market, venture capital, or private credit strategies within the group.
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