Mazars is an international, integrated and independent organisation, specialising in audit, accountancy, advisory, tax and legal services. As of January 1st, 2017, Mazars operates throughout the 79 countries that make up its integrated partnership. Mazars draws upon the expertise of 18,000 women and men led by 950 partners. We assist clients of all sizes, from SMEs to mid-caps and global players as well as start-ups and public organisations, at every stage of their development.
In Singapore, Mazars specialises in Audit and Assurance, Tax, Business and Risk Consulting, Financial Advisory Services, Consulting, Accounting Outsourcing, Payroll Outsourcing, Company Secretarial, Initial Public Offering and Business Valuation. Our clients beneﬁt from the combined expertise of 180 Singapore-based professionals and our international team of 18,000 professionals.
The need for fund management companies that aim to capture the growth of multi-asset investments whilst still aiming to protect investment downside risks through asset diversification has never been greater. A market leader in multi-asset, risk-controlled investments is VAM Funds, which is a Luxembourg fund management company that has been trusted globally by international investors since 2001.
VAM has a comprehensive range of multi-asset, risk-controlled funds designed to help clients protect and grow their hard-earned assets. VAM has carefully selected Close Brothers Asset Management as its investment manager for this range of discretionary funds. As a client, you have peace of mind in knowing that an extensive team of world-class investment professionals are working to prudently grow your wealth over time, with your best interests at heart.
In partnership with Close Brothers Asset Managements, which was established in 1878, Close Brothers is a specialist financial services group that makes loans, trades securities and provides investment management solutions to a wide range of clients. It is also listed on the London Stock Exchange and is a member of the FTSE 250.
Jupiter Asset Management (“Jupiter”) was founded in 1985 with the premise of delivering investment performance through active fund management. Thirty years later, our adherence to the same principle has earned us a reputation as a successful asset manager of equity portfolios, as well as fixed income, multi-asset and absolute return funds. Today we manage US$50.1bn (as at 31.12.2016) on behalf of institutional/professional and retail investors.We seek to optimise performance over the medium to long term. We believe people are the key to success and are committed to attracting and retaining some of the most talented fund managers by creating the right culture for them to operate in.
At Jupiter, we have
- A long-standing, sound business, solely dedicated to the management of clients’ assets.
- A strong, investment led culture with a management structure that aligns us with our clients’ interests.
- An unconstrained approach to investment, with the belief that fund managers perform best if they are given the freedom to invest as they see fit, within their funds’ objectives.
- The spirit and flair of an investment boutique combined with the strength and resources of an established institution.