Asset Manager

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Maywood Asset Management

Maywood Asset Management is a asset manager based in Singapore, founded 2010; the Altss profile covers its classification, headquarters, registration, AUM...

Maywood Asset Management

Maywood Asset Management is a Singapore-based asset manager focused on the Asia region.

General information

Firm type

Generalist

Year founded

2010

Location

Region

Asia

Country

Singapore

City

Singapore

Corporate office

Singapore

Frequently asked questions

What is Maywood Asset Management's investment strategy?

No specific strategy has been publicly disclosed. The firm is classified as a generalist asset manager, which may indicate a broad mandate across multiple asset classes. Public records contain no regulatory filings, marketing materials, or announcements that would clarify its asset-class mix, sector preferences, or geographic focus.

Who runs investment decisions at Maywood Asset Management?

The firm has not disclosed named principals, investment committee members, or portfolio managers in any public venue. No LinkedIn profile, regulatory filing, or press mention identifies an individual associated with the firm in an investment decision-making capacity.

Is Maywood Asset Management structured as a family office?

The firm is registered as an asset manager, not a single-family office. However, the complete absence of public marketing, fund documentation, or investor relations activity is consistent with firms that manage capital for a single, undisclosed principal or a closed group of related investors. No regulatory filing confirms or refutes this characterization.

Does Maywood participate in fund commitments or only direct deals?

There is no public evidence of Maywood's participation in either fund commitments or direct deals. The firm does not appear in LP disclosures, co-investment announcements, or transaction databases that would confirm one posture or the other.

How does Maywood Asset Management source its deals?

The firm's sourcing model is undisclosed. Given the lack of a public-facing investment team, website, or deal announcements, it is likely the firm does not actively solicit external deal flow in the manner of a commercially marketed asset manager.

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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