Real Assets, Enduring Value

OVERVIEW

Oraman Group AG’s Asset Management practice is built on a single enduring conviction: that sustainable value creation requires patient capital, disciplined analysis, and a portfolio architecture designed to withstand the full spectrum of market conditions. We manage real assets, financial instruments, and alternative investment vehicles on behalf of institutional investors, family offices, international NGOs, and qualified private investors — with a long-term perspective that prioritises capital preservation and compounding returns over short-term performance metrics.

Our asset management capabilities span multiple asset classes and geographies, supported by Oraman Group’s institutional banking relationships, co-investment partnerships with prominent private investors, and the operational infrastructure of our international network of subsidiaries and strategic partners.

  Real Estate: Direct property investments, real estate private equity, and income-generating commercial assets across Switzerland, the EU, the Gulf region, and selective Asian markets.

  Infrastructure: Long-duration infrastructure assets providing stable, inflation-linked returns — including energy, transport, and digital connectivity projects.

  Private Equity: Co-investments alongside leading private equity sponsors and proprietary direct investments in established, cash-generative businesses.

  Commodity-Linked Assets: Physical commodity positions, commodity finance structures, and resource-sector investments managed through our Trade Avenue and Lawrence Avenue platforms.

  Alternative Investment Vehicles: Structured products, special purpose vehicles, and bespoke investment wrappers designed to meet specific client objectives.

Direct Asset Management

Hands-on management of directly owned assets — real estate, infrastructure, and commodity positions — with full operational oversight and regular client reporting.

Fund & SPV Structuring

Design and administration of investment funds, special purpose vehicles, and co-investment structures aligned with client objectives and regulatory requirements.

Portfolio Monitoring & Reporting

Institutional-grade monitoring with quarterly performance reports, risk analytics, and benchmarking against agreed strategic objectives.

ESG & Responsible Investment

Integration of environmental, social, and governance considerations into asset selection — reflecting the values of NGO and institutional clients.

Exit Strategy & Capital Return

Strategic exit planning to optimise capital return timing through asset sales, secondary market transactions, or structured refinancing.

Cross-Border Asset Coordination

Management of internationally distributed asset portfolios across multiple jurisdictions, currencies, and regulatory environments.

"Assets managed without patience are merely traded. Assets managed with discipline and a genuine long-term perspective are transformed into enduring engines of wealth."

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