About

By structuring our funds to capitalise on the respective asset management expertise of our partners we completely change the game. Key to the Stoic Asset Management is its relationships with partners in specific sectors such as property, bonds, equities and venture capital, which provide strong returns with rigorous institutional risk management. 

Our design house approach to funds management is a game changer for investors by allowing risk/return preferences to be met at a fund level, across every asset class.