About Us

About Us | Global Asset Matrix
MATRIXED STRATEGIES · GLOBAL REACH

Our Corporate Identity

Global Asset Matrix (GAM) is a cross-regional, multi-asset management institution headquartered in New York. The firm is built on a proprietary Matrix Asset Allocation Methodology, which integrates fundamental research, quantitative modeling, and macroeconomic perspectives into a unified framework.

GAM provides a full spectrum of investment services, ranging from discretionary portfolio management to advisory mandates, as well as alternative asset and structured solutions. The company’s client base includes institutional investors, family offices, and high-net-worth individuals who require strategies that are both adaptive and disciplined.

Operating in full compliance with U.S. Securities and Exchange Commission (SEC) regulatory standards, GAM safeguards transparency and professionalism across all of its mandates. By 2025, the firm serves clients in 65 countries and regions worldwide with approximately USD 12.7 billion in assets under management.

GAM’s identity is defined by its ability to combine modular product design, distributed research collaboration, and resilient risk-control infrastructure. This unique positioning allows the firm to offer replicable alpha and sustainable risk-adjusted returns across global market cycles.

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Our Vision

At Global Asset Matrix (GAM), we envision a future where wealth is managed through clarity, resilience, and adaptability. Our mission is not only to preserve and grow capital, but to do so with discipline, transparency, and structural risk control.

We aspire to be recognized as a trusted partner in cross-regional and multi-asset wealth management, offering strategies that combine fundamental insight, quantitative precision, and macroeconomic foresight. By leveraging a matrix allocation methodology and a distributed research network, we aim to provide investors with portfolios that can withstand uncertainty and capture opportunity.

We believe that modern wealth management must extend beyond short-term returns. It should deliver continuity across generations, confidence in decision-making, and the ability to adapt to shifting global conditions — without compromising on professionalism or compliance.

Our Values
Professional Excellence
We operate with discipline, transparency, and accountability across all aspects of investment management. GAM adheres to the highest standards of compliance under U.S. SEC oversight, ensuring every mandate is executed with precision and professionalism.
Client-Centered Thinking
Every client mandate is treated as a long-term strategic partnership. Whether institutional investors, family offices, or high-net-worth individuals, our services are tailored to client objectives, risk profiles, and evolving market conditions.
Technology as a Strategic Tool
Our proprietary risk and data infrastructure integrates scenario testing, liquidity management, and counterparty oversight. By embedding technology into every layer of decision-making, we strengthen resilience and ensure consistency in results.
Global Collaboration and Local Insight
Through a distributed research network, GAM combines localized expertise with global allocation frameworks. This ensures that strategies are both globally scalable and regionally relevant across the 65 countries and regions we serve.
Sustainable Wealth Planning
We advocate for resilient, risk-adjusted returns that stand the test of time. Our focus on continuity ensures that portfolios are designed not just for immediate performance, but also for multi-generational wealth preservation.

A Culture Of Compliance

At Global Asset Matrix (GAM), compliance is not a checkbox — it is a core principle embedded in our operational DNA. We maintain a zero-tolerance approach to regulatory breaches and continuously strengthen our systems to align with evolving global standards.

Our compliance culture is built on :

At GAM, compliance is not simply about regulation — it is about building lasting trust with clients and ensuring long-term portfolio integrity.

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Our Mission

Our mission at Global Asset Matrix (GAM) is to deliver resilient, transparent, and adaptive wealth management solutions for institutional investors, family offices, and high-net-worth clients. By combining fundamental research, quantitative models, and macroeconomic perspectives within a matrix allocation framework, we aim to create strategies that are both replicable and durable across global markets.

We are focused on:

At GAM, our purpose is simple: to help clients achieve clarity, adaptability, and continuity in wealth management, regardless of changing market conditions.