# OSSIA IM

OSSIA IM is an Asset Manager based in Miami, Switzerland.

## Overview

- **Organization type:** Asset Manager
- **Headquarters:** Miami, Switzerland
- **Region:** Europe
- **Address:** Zurich, Switzerland
- **Founded:** 2018
- **Assets under management:** Less than $500M (Altss estimate)
- **Website:** ossia-im.com
- **LinkedIn:** https://www.linkedin.com/company/ossia-investment-management/

## Regulatory record

- **CRD number:** 329936
- **SEC file number:** 801-129559
- **Registration status:** Registered
- **Reports private funds:** No
- **IAPD record:** https://adviserinfo.sec.gov/firm/summary/329936

## About

OSSIA IM is a SEC-registered investment adviser in Miami, FL. The firm manages approximately $99 million in regulatory assets. It has 1 employee and 1 investment adviser.

## Sectors

- Hedge Funds
- Multi-Asset

## People

- Oliver Bilal — Founder & CEO
- Marc Frauenfelder — COO & Head of Risk

## Questions

### What investment strategies does OSSIA IM run?

The firm deploys four primary return engines: global macro, equity volatility, managed futures, and tail-risk hedging. Instruments are limited to exchange-traded futures, FX forwards, and listed or OTC-cleared equity options. The multi-asset framework is benchmark-agnostic, targeting absolute returns within institutional risk budgets.

### Is OSSIA IM structured as a hedge fund or an asset manager?

It is structured as a Swiss FINMA-regulated asset manager, not an offshore hedge fund. All strategies are delivered through UCITS or Swiss-domiciled regulated funds designed for institutional investors. This regulatory posture — unusual for a macro boutique — is central to its distribution model, which targets Swiss pension funds, insurers, and family offices that require BVV 2 or UCITS-eligible structures.

### Does OSSIA IM manage capital for retail investors or private banks?

No. The firm's institutional-only mandate and UCITS/BVV 2 fund structure preclude direct retail distribution. Its known client base is Swiss institutional — including at least one cantonal pension fund — and the firm does not maintain private-banking distribution agreements or retail share classes.

### Which geographic regions does OSSIA IM target in its portfolio?

Liquid market exposure is concentrated in G10 rates, US and European equity index volatility, and Asian commodity futures. The firm does not run dedicated emerging-market or frontier-market mandates. This G10-plus-Asia concentration reflects the liquidity and execution constraints inherent in the firm's systematic volatility and managed futures strategies.

## Related profiles

- [NC Management](https://altss.com/profile/nc-management-gmbh)
- [HAMZA INVESTS FUND MANAGER](https://altss.com/profile/hamza-invests-fund-manager-llc)

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Last updated: 2026-06-03T20:00:00.000Z

Canonical page: https://altss.com/profile/ossia-im

Maintained by Altss — https://altss.com — methodology: https://altss.com/methodology
