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Lion Asset Management
Lion Asset Management is a asset manager based in Beijing, founded 2019; the Altss profile covers its classification, headquarters, registration, AUM band, and...
Lion Asset Management
Lion Asset Management is a Beijing-based asset manager. It manages eight funds, primarily focused on the Asia region.
General information
Firm type
Generalist
Year founded
2019
Location
Region
Asia
Country
China
City
Beijing
Corporate office
Beijing, China
Frequently asked questions
Who runs investment decisions at Lion Asset Management?
The identity of the firm's key investment decision-makers is not a matter of public record. Lion Asset Management does not maintain a public-facing website or LinkedIn presence that lists its principals. As a result, the leadership and investment committee structure remain undisclosed.
What investment stages does Lion Asset Management typically target?
Lion Asset Management deploys capital across the full venture lifecycle. Its mandate includes early-stage seed and start-up rounds, as well as expansion and late-stage growth investments. The firm does not publicly segment its allocation preferences by specific check size or stage weighting.
Does Lion Asset Management participate in fund commitments or only direct deals?
There is no public information confirming whether Lion Asset Management operates through direct investments, fund-of-fund commitments, or a blend of the two. The absence of a public portfolio or regulatory filing makes its deployment structure opaque to outside allocators.
How does Lion Asset Management source proprietary deal flow?
Lion Asset Management's sourcing model is not publicly described. Given its Beijing base and generalist mandate, it likely relies on founder networks and domestic Chinese deal referrals. No proprietary sourcing partnerships or external advisor relationships are confirmed in public sources.
Which sectors does Lion Asset Management explicitly avoid?
The firm has not published a list of excluded sectors or a negative investment screen. While its strategy is labeled generalist, the absence of a sector-specific public track record means that any negative sector posture — such as avoiding sin stocks or state-sensitive industries — is not disclosed.
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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