Amova Asset Management UK Limited

RIASEC RegisteredEst. 1988
Total AUM
$19.2B
Discretionary
$18.2B
95% of AUM
Avg account
$259M
Accounts
74
Employees
85
Advisory reps
8

Firm details

Headquarters
London,
CRD number
111038
Registered since
May 13, 1988
Custodians
SMBC NIKKO BANK (LUXEMBOURG) S.A., SUMITOMO MITSUI TRUST BANK, BANK OF TOKYO MITSUBISHI UFJ, CITI PRIVATE BANK, STATE STREET BANK AND TRUST COMPANY, SUMITOMO MITSUI TRUST BANK, LIMITED (LONDON BRANCH)
Fee structure
Fixed Fees, Performance Based Fees
Client types
  • Other Investment Advisers64.33%
  • Sovereign Wealth Funds26.4%
  • Insurance Companies9.27%
Services
Portfolio Management for Institutional Clients

Firm profile

FINTRX

Overview

Amova Asset Management UK Limited is an institutional investment adviser organized as a corporation and registered with the SEC since 1988. The firm serves institutional clients and focuses on portfolio management for businesses and other institutions. Its fee arrangements include both fixed fees and performance-based fees, and it does not position itself as a capital allocator. The firm is not described as an active ESG investor and is not set up as a multi-state or newly formed adviser. Regulatory and business affiliations listed in filings indicate activity across a broad range of financial functions — including relationships with broker-dealers, other investment advisers, commodity pool/CTA structures, banking or thrift institutions, trust companies, pension consulting, real estate brokerage, and roles as sponsor or general partner of pooled investment vehicles. Those affiliations suggest Amova operates within an institutional ecosystem that spans custody, fund sponsorship, and third-party distribution channels.

Assets & Accounts

Public Holdings

Investments & Alternatives

Location & Offices

Investment profile

FINTRX

Traditional investments used

Alternative investments used

Active ESG investor

Technology & operations

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CRM & tech providers

TAMPs used

Clients

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Client base

Client personas

Asset composition

Asset composition: Exchange Traded Equities 61%, Cash & Cash Equivalents 16%, Investment Grade Corp Bonds 10%, Sovereign Bonds 7%, Derivatives 5%, US Government Bonds 1%, State & Local Bonds 1%61%
  • Exchange Traded Equities61%
  • Cash & Cash Equivalents16%
  • Investment Grade Corp Bonds10%
  • Sovereign Bonds7%
  • Derivatives5%

Owners & executives

3 of 3
  • Carl Baldwin

    Carl Baldwin

    Chief Compliance OfficerCRD 4757852

  • David Cruise

    David Cruise

    CFOCRD 7147855

  • Robert Bluzmanis

    Robert Bluzmanis

    Chief Executive OfficerCRD 7589546

Contacts

3 of 5
  • Patrick Rudden

    Patrick Rudden

    Non-Executive DirectorCRD 4394136

  • Kuniyuki Shudo

    ChairmanCRD 8069591

  • Cinzia Basile

    Cinzia Basile

    ChairmanCRD 7271001

Unlock 2 more contacts

Wealth teams

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Newly hired reps

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Recent M&A activity

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Recent filings

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Awards

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Location

Primary office

London, null

Location

London, null

Headquartered in London, null.

Address
3rd Floor 36 Queen St
Office locations

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Source: FINTRX private wealth data intelligence

Intelligence for Private Wealth