Asset ManagerRIA · CRD 317828SEC-RegisteredPrivate Fund Adviser

Updated:

Maytree Asset Management

Maytree Asset Management Limited is a UK-registered asset manager with no publicly disclosed AUM, principals, or investment strategy — an opaque entity.

Maytree Asset Management

Maytree Asset Management Limited is a Hong Kong-based investment adviser registered with the SEC since 2022.

General information

Firm type

Asset Manager

Frequently asked questions

Who runs investment decisions at Maytree Asset Management?

No named principals or investment decision-makers have been identified in public records, including Companies House filings, industry publications, or press releases. The firm has not disclosed a CEO, CIO, or managing director.

What is the wealth origin behind Maytree Asset Management?

The source of capital or underlying wealth is not publicly disclosed. Maytree Asset Management Limited's corporate filings do not name a founder or principal associated with a known fortune.

Is Maytree Asset Management a family office or a traditional asset manager?

The firm's corporate registration as 'Maytree Asset Management Limited' suggests an asset manager structure, but the lack of regulatory filings or public profile makes its operational model unverifiable. It could serve as a confidential single-family office or a small private fund vehicle.

Does Maytree Asset Management make direct investments or fund commitments?

No direct investments or fund commitments have been publicly reported. The firm's portfolio composition and deployment methods are unknown.

Which sectors does Maytree Asset Management target?

No sector preferences or investment focus areas have been disclosed in public records or press releases. The firm's sector tags remain empty.

Where is Maytree Asset Management located?

The firm is registered at an address in the United Kingdom per Companies House. No physical office locations or regional teams have been publicly identified.

How does Maytree Asset Management source deals?

Deal sourcing methodology is unknown. The firm has not discussed proprietary flow, co-investment partnerships, or external GP relationships in any public forum.

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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