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Taurus Asset Management
Taurus Asset Management is a wealth management firm founded in 2004 in New York, New York. It provides investment solutions for high net worth individuals,...
Taurus Asset Management
Taurus Asset Management is a wealth management firm founded in 2004 in New York, New York. It provides investment solutions for high net worth individuals, families, and institutions. The company was acquired by Mariner Wealth Advisors in May 2025.
General information
Firm type
Generalist
Year founded
2023
Location
Region
Asia
Country
South Korea
City
Seoul
Corporate office
Seoul, South Korea
Frequently asked questions
What investment strategies does Taurus Asset Management run?
Taurus runs balanced strategies covering equities and fixed income, according to its fund-manager profile. This typically means the firm allocates across Korean stocks and bonds, a common mandate for domestic asset managers in Korea. Specific sub-strategies or fund names are not publicly disclosed.
Who runs investment decisions at Taurus Asset Management?
Named investment professionals at Taurus are not publicly identified in available records. The firm's website, timco.co.kr, may list leadership, but no scraped text was captured for this profile. Korean regulatory filings would contain registered fund-manager names, though those details were not located for this record.
What is Taurus Asset Management's known posture on co-investments alongside external GPs?
There is no public record of Taurus participating in co-investments alongside external general partners. The firm's profile as a balanced-strategy fund manager suggests a focus on direct portfolio management in public markets rather than private-market co-investment activity.
Is Taurus Asset Management structured as a family office or an asset manager?
Taurus is structured as an asset manager regulated in South Korea, not a family office. It runs pooled balanced strategies for external clients. There is no indication in public records that Taurus manages single-family capital or operates as a multi-family office.
Which sectors or asset classes does Taurus explicitly avoid?
No explicit exclusion list is publicly available. The firm's designation as a balanced-strategy manager suggests a focus on traditional equity and fixed-income markets, likely avoiding alternatives such as private equity, venture capital, or real assets unless stated otherwise.
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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