Facts
Facts
"All intelligent investing is value investing - acquiring more that you are paying for. You must value the business in order to value the stock.“
 
Charlie Munger
Osiris Asset Management AG is a private company, run on partnership principles that was established under Liechtenstein laws in 2006. 
We specialize in Asset Management and Family Office solutions. Our operations fully comply with European laws and regulations and are authorized and supervised by  FMA – Finanzmarktaufsicht Liechtenstein.
 
 
Ownership: Osiris Asset Management AG is fully owned by its partners. As a team of independent investment specialists, we concentrate on Fund Management and Global Wealth Management.
 
 

Fund Management

 

We manage a number of Liechtenstein- and Luxembourg-based UCITS investment funds. Our flagship fund, the Mistral Value Fund, was incorporated in 2007 and is run from the present management team headed by Fabrizio Pierallini since January 2012. We foster a culture that promotes discipline and high ethical standards. Research is the foundation for our success. We aim to have intellectual independence, which requires both time and patience. These factors contribute to achieving our aim to generate superior returns over the long-term coupled with capital preservation.
 
 
Wealth Management and Family Office Services
 
The world is getting smaller and an efficient wealth management recognizes that the big differences are accomplished through an accurate tax planning. At Osiris Asset Management AG, we have the knowledge, the experience and the contacts to assist clients and their families in carefully selecting the optimal structure for estate planning and choosing the most suitable instruments for an efficient fiscal optimization.
 
 
The services and products described on this website are intended to be made available only to persons outside of the United States. This website should not be considered a solicitation or an offering of any of the Osiris Funds to investors. The different funds from Osiris Asset Management  are described in a prospectus or a summary prospectus, which contains more complete information about the Funds, including management fees and other charges and expenses. You should read the prospectus or summary prospectus carefully before you invest or send money. You can read, print or download the prospectus or summary prospectus from this website.
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