Asset management supported by distinctive intelligence and thorough investment analysis
OBB Asset Management was founded in 2021
leveraged by the 30-year experience and expertise of its portfolio manager, driven by a commitment to sustainable long-term investment returns.
The company boasts a team of experienced professionals with proficiency in portfolio management, company research, and robust internal risk and compliance controls.
Portfolio construction is guided by meticulous asset valuation through a blend of objective, qualitative, and quantitative analysis.
Risk management is supported by an independent third-party system.
Value creation with solid long-term growth
Investment Philosophy
In-house proprietary system of research and portfolio construction
Active management of investment risk
Outstanding team based on a partnership structure
Long-term investment with continuous short-term monitoring