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W.K. Cooper II Asset Management Corporation
W.K. COOPER II ASSET MANAGEMENT CORPORATION is an SEC-registered investment adviser in CHAMPAIGN, IL. The firm manages approximately $101 million in assets.
W.K. Cooper II Asset Management Corporation
W.K. COOPER II ASSET MANAGEMENT CORPORATION is an SEC-registered investment adviser in CHAMPAIGN, IL. The firm manages approximately $101 million in assets. It has 1 employee and 1 investment adviser.
General information
Firm type
Asset Manager
Year founded
—
AUM
Undisclosed
Location
Region
Asia
Country
Philippines
City
—
Corporate office
—
Principals
W.K. Cooper II
President / Founder
Sector focus
Frequently asked questions
Is W.K. Cooper II Asset Management Corporation a single-family office or a third-party asset manager?
Public records tilt toward a single-family office structure, despite the 'Asset Management Corporation' name. The firm has no known website, fund prospectus, or marketing presence, and it does not appear to solicit capital from external investors. This pattern is consistent with a Philippine family using a corporate vehicle to hold and manage private real estate assets, rather than a commercial asset manager serving multiple clients.
What does W.K. Cooper II Asset Management Corporation invest in?
Philippine corporate filings indicate a portfolio focused on real estate — specifically land and built properties within the Manila metropolitan area. There is no public evidence of investments in public equities, private equity funds, venture capital, fixed income, or alternative asset classes.
Who is W.K. Cooper II?
W.K. Cooper II is the named principal and founder of the firm. His professional background, family wealth origin, and broader business interests are not publicly detailed. The firm's name and structure suggest he is the beneficial owner and primary decision-maker for the assets held under the corporate entity.
How large is the firm's portfolio?
The total assets under management are undisclosed. No public filings, media reports, or commercial databases provide an AUM figure or transaction history that would allow a reliable estimate. The firm's portfolio scale remains opaque to outside observers.
Does the firm accept outside investors or co-investment partners?
No evidence of external capital exists. The absence of a fund structure, a website, or any marketing activity strongly suggests the firm manages proprietary capital exclusively, without co-investors, limited partners, or a feeder fund platform.
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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