Welcome to
Sundaram Asset Management Singapore Pte. Ltd

Sundaram Asset Management Singapore Pte Ltd (SAMS) is an investment management company regulated by the Monetary Authority of Singapore. The Sundaram Asset Management Group has more than 20 years of experience and SAMS manages assets for both global institutions and accredited investors.

We are active fund managers and have established a track record of outperformance in our investment strategies. We seek capital growth over the long term by employing a research-intensive, bottoms-up methodology with analysts deployed on the ground.

About Us

Sundaram Asset Management Singapore Pte. Ltd (SAMS) is a wholly owned subsidiary of the Indian asset management company, Sundaram Asset Management Company Limited.

The ultimate holding company of SAMS is Sundaram Finance Limited (incorporated in 1954, and listed on the National Stock Exchange in India and Bombay Stock Exchange), which originates from the TVS Group of Companies and is one of the highly diversified financial services groups in India.

Management Team

ANISH_MATHEW

Anish Mathew
Chief Executive Officer and Chief Investment Officer

Mr. Anish Mathew is the Chief Executive Officer and Chief Investment Officer of Sundaram Asset Management, Singapore. Anish has over 20 years of experience in Indian and Asian capital markets.

EDMUND_TEO

Edmund Teo
Head - Business Development

Edmund Teo is the Head - Business Development of Sundaram Asset Management, Singapore. Edmund comes with extensive experience in the financial services sector. He started his career in banking and has been involved in the asset management business and investment consulting industry over the last 10+ years.

List of Directors

Sunil Subramaniam

Managing Director , Sundaram Asset Management Company India Limited

Vijayendiran Ranganatha Rao

Chief Executive Officer, Sundaram Alternate Assets Limited

Anish Mathew

Chief Executive Officer & Chief Investment Officer, Sundaram Asset Management Singapore Pte Ltd-Executive Director

Investor Zone

EQUITY FUNDS

Sundaram India Midcap Fund

 
NAV as on
Class ISIN Code NAV (US$)
Distribution History
Ex-Date Distribution
03 Apr 2019USD 5 cents per unit
17 Jan 2018USD 5 cents per unit
06 Oct 2017USD 3 cents per unit
02 May 2017USD 3 cents per unit
15 Feb 2017USD 5 cents per unit
18 Oct 2016USD 5 cents per unit
21 Jun 2016USD 3 cents per unit
09 Jul 2015USD 5 cents per unit
12 Feb 2015USD 5 cents per unit
  

Sundaram India Midcap Fund is an open ended, USD denominated India equity fund domiciled in Singapore. Incepted in July 2014, it is closely modelled on the flagship mid-cap strategy of the group. The Fund invests directly into India listed mid-cap and small-cap stocks, following a predominantly bottom-up approach to stock selection, backed by the in-depth research capability of Sundaram Asset Management.

The Fund is available for investments by accredited investors and institutional investors The appointed trustee, custodian, registrar and fund administrator for the Fund is HSBC Group.

HSBC Group is appointed as the trustee, custodian, registrar and fund administrator for the Fund.

Please refer to the Information Memorandum for further details.

Sundaram Global Brand Fund

* - Inception date -June 09, 2017
NAV as on
Class ISIN Code NAV (US$)
Distribution History
Ex-Date Distribution
11 Dec 2019USD 5 cents per unit
17 Jul 2019USD 5 cents per unit
08 May 2019USD 5 cents per unit
06 Mar 2019USD 5 cents per unit
16 Oct 2018USD 7 cents per unit
17 Jul 2018USD 5 cents per unit
23 Jan 2018USD 5 cents per unit
13 Oct 2017USD 3 cents per unit
15 Feb 2017USD 3 cents per unit
24 Aug 2016USD 3 cents per unit

Sundaram Global Brand Fund is an open ended, dialy dealing USD denominated fund domiciled in Singapore. The Fund aims to provide long term capital appreciation by investing in equity and equity related securities of leading global brand companies, listed on stock exchanges across the world. These companies have globally acclaimed brands and business presence in developed markets as well as in emerging markets.

The Fund is a daily dealing open-ended unit trust and is available for investments by accredited investors and institutional investors The appointed trustee, custodian, registrar and fund administrator for the Fund is HSBC Group.

Please refer to the Information Memorandum for further details.

Reach Us

Sundaram Asset Management
Singapore Pte.Ltd

50 Armenian Street,
#02-02 Wilmer Place,
Singapore - 179938.

  Tel: +65 65577080
  Fax: +65 63331490
  customer@sundarammutual.sg

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