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Nemesis Asset Management

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uuid002zj6v

Namestring
Nemesis Asset Management
Legal namestring
Nemesis Asset Management LLP
Websiteurl
nemesisam.com
Company typeenum
Private
Founded yearint
2004
Descriptiontext

Nemesis Asset Management LLP is an independent, FCA-authorised asset manager (Firm Reference Number 211205) incorporated in England and Wales as a limited liability partnership (OC301714) with offices in London (53 Davies Street, W1K 5JH) and Monaco (Les Cyclades, 37 Avenue des Papalins, MC 98000). Founded in 2004 as Furno and Del Castano Capital Partners — a joint venture between Lehman Brothers and Pier Alberto Furno — the firm was restructured and rebranded to Nemesis following Lehman's September 2008 collapse, and has operated continuously since under founder-CEO Pier Alberto Furno.

The firm offers six products: Discretionary Portfolios (tailored multi-currency, multi-strategy mandates held at clients' existing custodial banks), Portfolio Advisory (independent advice on asset allocation and risk), Execution Services (trade execution via global custodian banks and brokers, revenue from execution fees only), Fund Structuring (UCITS and AIF vehicles across jurisdictions), a Portfolio Managers Platform (multi-custody operations for managers leaving traditional banks), and Appointed Representative Services (principal-firm compliance, risk and operational hosting for FCA-regulated introducers). The investment approach is a documented value investing philosophy focused on long-term capital appreciation with below-average drawdowns and contrarian positioning on neglected or misinterpreted names; there is no disclosed quantitative, algorithmic, or AI-driven component.

Revenue is generated primarily through recurring discretionary management fees, advisory retainers, transaction execution fees, professional services fees on fund structuring, and managed service fees from the AR/principal-firm platform. Distribution is relationship-led: dedicated relationship managers serve high-net-worth individuals, families, corporations, foundations and trusts via professional-network referrals in London, Monaco and selected European/Latin American corridors, with a parallel AR channel introduced in April 2020. The firm positions itself as conflict-free and independent from broker, bank and institutional influence — a positioning that doubles as its primary brand differentiator against bank-affiliated wealth managers.

Short descriptiontext

Nemesis Asset Management LLP is an independent FCA-regulated (FRN 211205) asset manager in London and Monaco providing discretionary portfolios, advisory, execution, fund structuring, a portfolio-manager platform, and appointed-representative services to high-net-worth individuals, families, corporations, foundations, trusts and professional investors.

Operating statusenum
Operating
Ownership categoryenum
Headcount rangeband
1–10
akta.pro rankint
HeadquartersLondon, United Kingdom
HQ citystring
London
HQ countrystring
United Kingdom
HQ regionstring
Europe
Markets served

Serves global market

Offices2 records

Each record includes

City, Country, Type, Description, Source

Keyword5 values
discretionary portfolio management, wealth management services, portfolio advisory, fund structuring, execution services
Industry2 codes
1Broker-Dealer Affiliated Wealth Advisory
CodeFSAEABABPrimaryYes
2Managed Account Platforms (Separately Managed Accounts / Customized Portfolios)
CodeFSAHAKACPrimaryNo
NAICS code1 code
  • Portfolio Management and Investment Advice52394
SIC code1 code
  • Investment Advice6282
Product category
Wealth Management / Asset Management
No data
GTM motion2 records

Each record includes

Type, Description, Source

Revenue model6 records
1Discretionary Portfolio Management
TypeSubscription Recurring
Description

Tailored discretionary portfolios managed on behalf of clients in various strategies and multiple currencies. Portfolios are held at client's existing custodial bank and managed by Nemesis, with clients benefiting from direct access to portfolio managers.

nemesisam.com
2Portfolio Advisory Services
TypeSubscription Recurring
Description

Independent portfolio advice provided to select group of professional individuals and institutional investors. Focus on overall asset allocation and risk management with either specific ideas or packaged solutions.

nemesisam.com
3Execution Services
TypeTransaction Fee
Description

Trade execution for clients through arrangements with custodian banks and brokers worldwide. No advice offered; clients have full control over investment decisions. Revenue derived from execution fees.

nemesisam.com
4Fund Structuring
TypeProfessional Services
Description

Management of UCITS and AIF fund structures in various jurisdictions through globally recognised custodians and fund administrators. Complex service for professional clients and institutions.

nemesisam.com
5Portfolio Managers Platform
TypeSubscription Recurring
Description

Platform services for Portfolio Managers or Relationship Managers wanting to move away from traditional banks to an independent asset manager. Includes multi banking custody arrangements.

nemesisam.com
6Appointed Representative Services
TypeManaged Services
Description

Principal firm services for FCA regulated Appointed Representatives including Compliance, Risk Management and Operational support. Revenue from service fees to appointed representatives.

nemesisam.com
Marketing channels3 records

Each record includes

Title, Type, Stage, Description, Source

Distribution channels2 records

Each record includes

Title, Type, Scope, Target buyer, Description, Source

Cost components5 values
Personnel, Operations, Technology or R&D, Marketing or Sales, Others
GTM typeB2B
B2B
Offering typeServices
Services
Core offering1 text field

Nemesis Asset Management is an FCA-regulated boutique asset manager providing discretionary portfolio management, portfolio advisory, and execution services to high net worth individuals, families, corporations, foundations, and trusts. The firm also operates a Portfolio Managers Platform, an Appointed Representative service, and a Fund Structuring offering that helps investment professionals launch and administer pooled vehicles.

Differentiator
Functional benefit
Problem solved
Product overview1 text field

Nemesis Asset Management is an independent, FCA-regulated asset management company offering a platform of wealth management services. The core offering comprises six distinct products: Discretionary Portfolios (tailored portfolio management), Portfolio Advisory (independent investment advice), Execution Services (trade execution through global custodian banks and brokers), Fund Structuring (UCITS and AIF management), a Portfolio Managers Platform (for independent portfolio managers seeking to leave traditional banking), and Appointed Representative Services (FCA principal services for regulated entities). The company combines these services to serve high-net-worth individuals, families, corporations, foundations and trusts, with a focus on value investing and long-term capital appreciation.

Product and service1 record
1Discretionary Portfolios
Scale indicator2 records

Each record includes

Type, Value, Description, Source

Recent move9 records

Each record includes

Date, Type, Title, Description, Source

Expansion highlight5 records

Each record includes

Type, Description

Peers10 records
TypeBroad incumbent
Description

UK private bank within NatWest Group serving UHNW and HNW clients with discretionary and advisory services. Comparable in target segment and London-based wealth offering, but with vastly greater scale, brand, and captive product set.

TypeDirect peer
Description

UK-based independent wealth manager serving HNW clients with discretionary portfolio management and advisory services. Closely comparable in size, independent structure, and HNW focus, with a similar open-architecture, fee-based model.

TypeBroad incumbent
Description

UK wealth management business (now part of Schroders) offering discretionary portfolio management and advisory to HNW clients. Overlaps in product set and customer base but operates at substantially greater scale as part of a global asset manager.

TypeDirect peer
Description

London-based independent wealth manager offering discretionary portfolios, advisory, and execution services to private clients. Comparable in size, independent ethos, multi-custodian relationships, and HNW segment focus.

TypeDirect peer
Description

International family office and wealth advisory firm with strong HNW/UHNW focus across UK, Jersey, South Africa and other jurisdictions. Comparable in cross-border family wealth services, independent ownership, and multi-office model.

TypeBroad incumbent
Description

UK private wealth arm of Royal Bank of Canada offering discretionary portfolio management and advisory to international HNW clients. Comparable in serving globally-mobile HNW families but with the resources, brand, and global custody capabilities of a major Canadian bank.

TypeBroad incumbent
Description

UK private bank providing bespoke banking and wealth management to HNW clients. Comparable in client segment and relationship-driven model, but with full banking infrastructure and materially larger AUM.

TypeBroad incumbent
Description

AIM-listed UK wealth manager providing discretionary investment management and financial advisory services. Overlaps in HNW discretionary offering but is a much larger, technology-enabled platform competing on both price and scale.

TypeDirect peer
Description

UK independent wealth and investment manager offering discretionary and advisory services to private clients and advisers. Comparable in independent structure, open-architecture platform, and multi-product wealth offering.

TypeDirect peer
Description

London-based multi-family office providing discretionary investment management and advisory services to UHNW families. Comparable in independent ownership, multi-jurisdictional reach, and bespoke long-term portfolio orientation.

Market position
Strengths5 records

Each record includes

Headline, Details, Source

Weaknesses5 records

Each record includes

Headline, Details, Source

Competitive moat4 records

Each record includes

Type, Details

Key risks7 records

Each record includes

Headline, Details, Source

Key highlights7 records

Each record includes

Headline, Details, Source

Customer concentration

Classification, Details

Segment4 records

Each record includes

Title, Type, Primary, Description, Pain point addressed, Use case, Source

Ideal customer profile3 records

Each record includes

Profile, Firmographic size, Sales motion, Sales cycle length, Buying structure, Purchase trigger, Buyer persona, Geography, Industry vertical, Primary use case, Description, Pain points, Evidence proof points, Target buyer

Technology focused
No
API detail
Has APIbool
No

Docs URL, Description

AI maturity
App detail

Has app

Core technology
Revenue estimate
Valuation estimate
Number of profiles
Profiles1 record

Each record includes

Name, Designation, Designation category, Overview, Profile commentary, Source

No data
No data
Funding overview

Funding stage, Last funding date, Total funding USD

Funding rounds

Each record includes

Round, Amount USD, Date, Pre money valuation, Total investors, Investors, News

Investors

Each record includes

Name, Type, Date of entry, Rounds participated, Website

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

M&A

Each record includes

Name, Acquisition type, Announced date, Completed date, Status, Website, News

Investment

Each record includes

Name, Round, Announced date, Lead investor, Website, News

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

Nemesis Asset Management

Wealth Management / Asset Managementnemesisam.com

Nemesis Asset Management LLP is an independent FCA-regulated (FRN 211205) asset manager in London and Monaco providing discretionary portfolios, advisory, execution, fund structuring, a portfolio-manager platform, and appointed-representative services to high-net-worth individuals, families, corporations, foundations, trusts and professional investors.

What Nemesis Asset Management does

Nemesis Asset Management LLP is an independent, FCA-authorised asset manager (Firm Reference Number 211205) incorporated in England and Wales as a limited liability partnership (OC301714) with offices in London (53 Davies Street, W1K 5JH) and Monaco (Les Cyclades, 37 Avenue des Papalins, MC 98000). Founded in 2004 as Furno and Del Castano Capital Partners — a joint venture between Lehman Brothers and Pier Alberto Furno — the firm was restructured and rebranded to Nemesis following Lehman's September 2008 collapse, and has operated continuously since under founder-CEO Pier Alberto Furno.

The firm offers six products: Discretionary Portfolios (tailored multi-currency, multi-strategy mandates held at clients' existing custodial banks), Portfolio Advisory (independent advice on asset allocation and risk), Execution Services (trade execution via global custodian banks and brokers, revenue from execution fees only), Fund Structuring (UCITS and AIF vehicles across jurisdictions), a Portfolio Managers Platform (multi-custody operations for managers leaving traditional banks), and Appointed Representative Services (principal-firm compliance, risk and operational hosting for FCA-regulated introducers). The investment approach is a documented value investing philosophy focused on long-term capital appreciation with below-average drawdowns and contrarian positioning on neglected or misinterpreted names; there is no disclosed quantitative, algorithmic, or AI-driven component.

Revenue is generated primarily through recurring discretionary management fees, advisory retainers, transaction execution fees, professional services fees on fund structuring, and managed service fees from the AR/principal-firm platform. Distribution is relationship-led: dedicated relationship managers serve high-net-worth individuals, families, corporations, foundations and trusts via professional-network referrals in London, Monaco and selected European/Latin American corridors, with a parallel AR channel introduced in April 2020. The firm positions itself as conflict-free and independent from broker, bank and institutional influence — a positioning that doubles as its primary brand differentiator against bank-affiliated wealth managers.

Nemesis Asset Management firmographics

Firmographics
Name
Nemesis Asset Management
Legal name
Nemesis Asset Management LLP
Website
https://nemesisam.com
Company type
Private
Founded year
2004
Operating status
Operating
Headcount range
1–10 employees
Short description
Nemesis Asset Management LLP is an independent FCA-regulated (FRN 211205) asset manager in London and Monaco providing discretionary portfolios, advisory, execution, fund structuring, a portfolio-manager platform, and appointed-representative services to high-net-worth individuals, families, corporations, foundations, trusts and professional investors.
Ownership category
akta.pro rank

Nemesis Asset Management industry classification

Industry
Product category
Wealth Management / Asset Management
NAICS
Portfolio Management and Investment Advice (52394)
SIC
Investment Advice (6282)
akta.pro primary industry
Broker-Dealer Affiliated Wealth Advisory (FSAEABAB)
akta.pro secondary industry
Managed Account Platforms (Separately Managed Accounts / Customized Portfolios) (FSAHAKAC)

Keywords

  • Discretionary portfolio management
  • Wealth management services
  • Portfolio advisory
  • Fund structuring
  • Execution services

Where Nemesis Asset Management is headquartered

Location

Headquarters

HQ city
London
HQ country
United Kingdom
HQ region
Europe

Offices2 records

Markets served

Nemesis Asset Management business model

Business model
GTM type
B2B
Offering type
Services
Cost components
Personnel, Operations, Technology or R&D, Marketing or Sales, Others

Revenue model

  1. Discretionary Portfolio Management: Tailored discretionary portfolios managed on behalf of clients in various strategies and multiple currencies. Portfolios are held at client's existing custodial bank and managed by Nemesis, with clients benefiting from direct access to portfolio managers.
  2. Portfolio Advisory Services: Independent portfolio advice provided to select group of professional individuals and institutional investors. Focus on overall asset allocation and risk management with either specific ideas or packaged solutions.
  3. Execution Services: Trade execution for clients through arrangements with custodian banks and brokers worldwide. No advice offered; clients have full control over investment decisions. Revenue derived from execution fees.
  4. Fund Structuring: Management of UCITS and AIF fund structures in various jurisdictions through globally recognised custodians and fund administrators. Complex service for professional clients and institutions.
  5. Portfolio Managers Platform: Platform services for Portfolio Managers or Relationship Managers wanting to move away from traditional banks to an independent asset manager. Includes multi banking custody arrangements.
  6. Appointed Representative Services: Principal firm services for FCA regulated Appointed Representatives including Compliance, Risk Management and Operational support. Revenue from service fees to appointed representatives.

Go-to-market motion2 records

Distribution channels2 records

Marketing channels3 records

Nemesis Asset Management product offering

Product offering

Core offering

Nemesis Asset Management is an FCA-regulated boutique asset manager providing discretionary portfolio management, portfolio advisory, and execution services to high net worth individuals, families, corporations, foundations, and trusts. The firm also operates a Portfolio Managers Platform, an Appointed Representative service, and a Fund Structuring offering that helps investment professionals launch and administer pooled vehicles.

Product overview

Nemesis Asset Management is an independent, FCA-regulated asset management company offering a platform of wealth management services. The core offering comprises six distinct products: Discretionary Portfolios (tailored portfolio management), Portfolio Advisory (independent investment advice), Execution Services (trade execution through global custodian banks and brokers), Fund Structuring (UCITS and AIF management), a Portfolio Managers Platform (for independent portfolio managers seeking to leave traditional banking), and Appointed Representative Services (FCA principal services for regulated entities). The company combines these services to serve high-net-worth individuals, families, corporations, foundations and trusts, with a focus on value investing and long-term capital appreciation.

Differentiator

Problem solved

Functional benefit

Products and services

  • Discretionary Portfolios

Companies that use Nemesis Asset Management

Customer profile

Segments4 records

Ideal customer profiles3 records

Nemesis Asset Management technology and API

Technology

Technology focussed No

API detail

Has API
No
API docs
API detail

Core technology

AI maturity

App detail

Nemesis Asset Management partnerships and signals

Strategic signal

Scale indicators2 records

Recent moves9 records

Expansion highlights5 records

Nemesis Asset Management competitors and assessment

Company assessment

Broad incumbents

  • Coutts: UK private bank within NatWest Group serving UHNW and HNW clients with discretionary and advisory services. Comparable in target segment and London-based wealth offering, but with vastly greater scale, brand, and captive product set.
  • Cazenove Capital (Schroders Wealth Management): UK wealth management business (now part of Schroders) offering discretionary portfolio management and advisory to HNW clients. Overlaps in product set and customer base but operates at substantially greater scale as part of a global asset manager.
  • RBC Wealth Management (UK): UK private wealth arm of Royal Bank of Canada offering discretionary portfolio management and advisory to international HNW clients. Comparable in serving globally-mobile HNW families but with the resources, brand, and global custody capabilities of a major Canadian bank.
  • Arbuthnot Latham: UK private bank providing bespoke banking and wealth management to HNW clients. Comparable in client segment and relationship-driven model, but with full banking infrastructure and materially larger AUM.
  • Brooks Macdonald: AIM-listed UK wealth manager providing discretionary investment management and financial advisory services. Overlaps in HNW discretionary offering but is a much larger, technology-enabled platform competing on both price and scale.

Direct peers

  • Saunderson House: UK-based independent wealth manager serving HNW clients with discretionary portfolio management and advisory services. Closely comparable in size, independent structure, and HNW focus, with a similar open-architecture, fee-based model.
  • Killik & Co: London-based independent wealth manager offering discretionary portfolios, advisory, and execution services to private clients. Comparable in size, independent ethos, multi-custodian relationships, and HNW segment focus.
  • Stonehage Fleming: International family office and wealth advisory firm with strong HNW/UHNW focus across UK, Jersey, South Africa and other jurisdictions. Comparable in cross-border family wealth services, independent ownership, and multi-office model.
  • 7IM (Seven Investment Management): UK independent wealth and investment manager offering discretionary and advisory services to private clients and advisers. Comparable in independent structure, open-architecture platform, and multi-product wealth offering.
  • Sandaire Investment Advisors: London-based multi-family office providing discretionary investment management and advisory services to UHNW families. Comparable in independent ownership, multi-jurisdictional reach, and bespoke long-term portfolio orientation.

Market position

Strengths5 records

Weaknesses5 records

Competitive moat4 records

Key risks7 records

Key highlights7 records

Customer concentration

Nemesis Asset Management financial estimates

Financial estimate

Revenue estimate

Valuation estimate

Nemesis Asset Management leadership team

Management profile

Number of profiles

Profiles1 record

Nemesis Asset Management funding detail

Funding detail

Funding overview

Funding rounds

Investors

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

Nemesis Asset Management M&A and investment

M&A and investment

M&A

Investments

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

Frequently asked questions about Nemesis Asset Management

What does Nemesis Asset Management do?

Nemesis Asset Management is an FCA-regulated boutique asset manager providing discretionary portfolio management, portfolio advisory, and execution services to high net worth individuals, families, corporations, foundations, and trusts. The firm also operates a Portfolio Managers Platform, an Appointed Representative service, and a Fund Structuring offering that helps investment professionals launch and administer pooled vehicles.

Is Nemesis Asset Management a public or private company?

Nemesis Asset Management is a private company. It is classified as founder individual operated bootstrapped and is currently operating.

When was Nemesis Asset Management founded?

Nemesis Asset Management was founded in 2004. It employs 1 to 10 people.

Where is Nemesis Asset Management based?

Nemesis Asset Management is headquartered in London, United Kingdom, in the Europe region.

How does Nemesis Asset Management make money?

Six revenue lines are on record. Discretionary Portfolio Management is the primary driver. The others are portfolio Advisory Services, execution Services, fund Structuring, portfolio Managers Platform and appointed Representative Services.

Who are Nemesis Asset Management's main competitors?

Broad incumbents on record are Coutts, Cazenove Capital (Schroders Wealth Management), RBC Wealth Management (UK), Arbuthnot Latham and Brooks Macdonald. Direct peers are Saunderson House, Killik & Co, Stonehage Fleming, 7IM (Seven Investment Management) and Sandaire Investment Advisors.

Does Nemesis Asset Management have an API?

No public API is recorded for Nemesis Asset Management.

What industry is Nemesis Asset Management in?

Nemesis Asset Management's product category is Wealth Management / Asset Management. Its primary akta.pro industry code is FSAEABAB, Broker-Dealer Affiliated Wealth Advisory, with a secondary code of FSAHAKAC, Managed Account Platforms (Separately Managed Accounts / Customized Portfolios). Its NAICS code is 52394 and its SIC code is 6282.

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