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STI Asset Management
STI Asset Management is a asset manager based in Hong Kong; the Altss profile covers its classification, headquarters, registration, AUM band, and key contacts...
STI Asset Management
STI Asset Management is a Hong Kong-based asset manager. It oversees approximately $2 billion in assets, primarily focusing on the Asia region.
General information
Firm type
Generalist
Location
Region
Asia
Country
Hong Kong
City
Hong Kong
Corporate office
Hong Kong, Hong Kong
Frequently asked questions
What regulatory licenses does STI Asset Management hold?
STI Asset Management operates under STI Financial Group's Type 9 (asset management) license from Hong Kong's Securities and Futures Commission. The group also holds Type 1, Type 2, Type 4, and Type 6 licenses covering securities dealing, futures, advisory, and corporate finance activities. These are matters of SFC public record.
What investment strategies does the firm offer?
The firm provides discretionary management and advisory services focused on listed equities and fixed income across Hong Kong, mainland China, and ASEAN markets. Based on its SFC license scope, its permissions cover traditional long-only strategies. The firm does not publicly market pooled fund products to external investors.
Is STI Asset Management a standalone firm or part of a larger group?
It is the asset management division of STI Financial Group, a Hong Kong-based financial services conglomerate whose primary businesses are securities and futures brokerage, along with corporate finance advisory. The group structure means the asset management unit benefits from shared research and distribution infrastructure.
Where does STI Asset Management invest geographically?
The firm's investment focus is Greater China and select ASEAN markets, consistent with the parent group's brokerage footprint and research coverage. Public materials reference Hong Kong and mainland China as core markets, with broader Southeast Asian exposure available through the group's regional relationships.
Does STI Asset Management have disclosed AUM or notable portfolio holdings?
No. The firm does not publicly disclose assets under management, specific portfolio companies, or strategy-level performance data. This opacity is not unusual for mid-tier Hong Kong asset managers serving private-wealth and institutional advisory clients through segregated mandates.
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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