Alternative investments · private capital

Transcending Conventional Boundaries.

Where advanced thinking converges with high conviction opportunities. Our expertise elevates your portfolio through precision built, research driven strategies that redefine the frontier of alternative investments.

Our services
₹8 billion
Wealth served
Private
Families
Family
Offices
Complex
Institutional portfolios
AIF·
PMS·
SIF·
BMS Structures·
Derivatives·
Global UCITS·
About

Smarter thinking for sophisticated capital.

Osia Capital specializes in sophisticated alternate and structured investment solutions designed for discerning investors. We bring deep expertise across AIFs, PMS, SIFs, BMS structures, derivatives and global UCITS, offering access to high quality opportunities backed by rigorous due diligence. Every strategy is tailored to your goals, risk appetite and long-term vision.

01

Precision built

Mandates shaped around objectives, liquidity needs, and risk appetite.

02

High conviction

Selective opportunities evaluated for quality, alignment, and portfolio role.

03

Long-term vision

Strategies designed to remain purposeful across changing market cycles.

Service pathways

Different structures. Distinct objectives.

Explore where each pathway may fit, the trade-offs it introduces, and the conditions that should prompt a more cautious review.

AIF

Access differentiated return drivers beyond traditional listed assets.

Suitability guide
May fit when

You can accept strategy-specific lock-ins and want private markets, long-short, special situations, or real-asset exposure.

Reconsider when

Near-term liquidity, simple valuation, or low complexity is the priority.

Liquidity profile

Low to moderate · strategy dependent

Potential portfolio role

Diversifier / satellite

Illustrative framework only · suitability depends on mandate terms, investor circumstances, and professional advice

Portfolio construction

Sophisticated portfolios need more than a single return engine.

PMS, AIFs, structured credit, and global diversification each solve a different portfolio need: focused ownership, alternative return drivers, designed income, and geographic breadth.

Explore strategic fit
Strategic portfolio roles

Fit begins with the role each strategy is meant to play.

The question is not which product is fashionable. It is which exposure improves the portfolio’s balance of growth, income, resilience, and breadth.

01PMS

Focused ownership with professional discretion

PMS can give sophisticated portfolios direct, transparent exposure to a focused public-market mandate.

02AIF

Access to alternative return drivers

AIFs can broaden the opportunity set beyond conventional listed equity and fixed income.

03Structured credit

Contractual income with designed protections

Structured credit can add cash-flow visibility and a defined place in the portfolio’s income architecture.

04Global diversification

A wider opportunity and risk set

Global exposure can reduce dependence on one economy, currency, sector mix, or market cycle.

The Osia standard

Quiet confidence, measured in outcomes.

Our independence is not a tagline. It is the operating system behind every recommendation: aligned advice, transparent structures, and a long view of your capital.

Fiduciary by design

Advice held to a higher duty than the product shelf.

Global perspective

Local intelligence across 35+ markets and 4 offices.

Built for continuity

A disciplined framework that survives market noise.

Independent fiduciarySEC registered advisory partnerAMF & FINMA compliance partners
What we do

A sharper architecture for complex capital.

From first liquidity event to lasting legacy, we make wealth easier to understand and harder to compromise.

Investment universe
01

Strategic Asset Allocation

Global liquidity management built around your real-world obligations, horizons, and ambitions.

02

Legacy & Estate Engineering

Tax-aware structures that carry your values, capital, and intent across generations.

03

Private Equity & Venture

Selective access to direct opportunities where conviction and alignment matter most.

04

Capital Preservation

Tailored hedging and risk architecture for capital that must endure every cycle.

Strategy matching

Match a strategy to its objective.

Explore a curated, portfolio-led view of strategies relevant to sophisticated investors. Start with the role you want an investment to play.

Selected strategy
Orion Multi Asset
A diversified anchor designed to balance growth participation with downside awareness. Illustrative data only; suitability and terms require independent review.
A considered point of view

Protect first. Compound with intention.

We do not chase the loudest opportunity. We build resilient portfolios around asymmetric protection, uncorrelated alternatives, and absolute-return thinking.

01

Asymmetric capital protection

A first principle: avoid permanent impairment before pursuing upside.

02

Uncorrelated alternatives

Seek return streams that do not move in lockstep with public markets.

03

Absolute-return focus

Measure progress against your objectives, not a noisy benchmark.

Illustrative strategy preview

Your capital, calibrated.

Compound
ProtectCompoundAccelerate
For multi-generational horizons
Private credit24%
Real assets22%
Global equities34%
Liquidity reserve20%
For illustration only · not investment advice
The first conversation

Make room for a longer view.

Tell us a little about your world. A senior advisor will respond personally, discreetly, and without obligation.

Discreet line
+41 44 555 01 84
Your information is handled under strict NDA protocol.
Our locations
ZurichNew YorkSingaporeDubai
Private intake

Start a confidential dialogue

Confidential·No obligation·4h response
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