Services

Investment Management

We provide a full suite of discretionary fund investment management services for our clients including investment due diligence, structuring, fundraising and discretionary management. If you are looking to launch a fund with a unique strategy, come speak with us today.

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Fund Management Consultancy

We provide project-based consultancy services such as fund set-up, compliance, research and feasibility studies, investment management advisory and exit planning. We have expertise of fund set up under the Variable Capital Company structure. Contact us to find out more!

Investment Education

We provide on-going investment education through articles and events in our specialized field of listed equities and real estate investing in Asia.

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Frequently Asked Questions

We provide discretionary asset management services with a number of different funds with various objectives to suit your needs. See our funds for more information. We also provide project-based advisory and consultancy services. Chat with us to find out more!

Fees are structured differently for each discretionary fund. To find out more about a specific fund, see our funds for more information.

Fees are structured differently for each discretionary fund. To find out more about a specific fund, see our funds for more information.

Yes. Based on MAS regulations, we are only able to serve AIs or Institutional Investors now. As part of the on-boarding process, Investors must also opt-in and read the consent provisions listed here to be treated as an AI to be able to participate in the Fund.

For Individuals

  • Net personal assets (“NPA”) exceed S$2 million (or its equivalent in a foreign currency), but net equity of primary residence capped at S$1 million of the S$2 million threshold ; or
  • Net financial assets (“NFA”) (net of any related liabilities) exceed S$1 million (or its equivalent in a foreign currency); or
  • Income in the preceding 12 months is not less than S$300,000 (or its equivalent in a foreign currency); or
  • A person who holds a joint account with an Accredited Investor, in respect of dealings through that joint account.

For Corporations

  • Net assets exceed S$10 million (or its equivalent in a foreign currency) ; or
  • Entire share capital is owned by one or more persons, each of whom is an AI.

For Entity (other than a corporation)

  • Net assets exceed S$10 million (or its equivalent in a foreign currency)

For Partnership (other than limited liability partnership)

  • Each partner is an AI

For Trustee of Trust, when acting in that capacity where

  • Trust property exceeds S$10 million in value (or its equivalent in a foreign currency); or
  • All beneficiaries of the trust are AIs; or
  • All settlors are AIs and have settlor reserved investment powers and revocation powers.

Disclaimer Notice

Please review the following Disclaimer and click "I Accept" to continue.

Galilee Investment Management Pte. Ltd. ("Galilee") was registered in 2019 with the Monetary Authority of Singapore ("MAS") under the 2012 enhanced regulatory regime implemented by the MAS as a Registered Fund Management Company ("RFMC"). With the announcement of the repeal of the RFMC regime, Galilee was granted a Capital Market Services ("CMS") License from the MAS on 1 August 2024 to operate as a licensed fund management company (“LFMC”). The material on this website is provided for your general information only and does not constitute the giving of investment advice or an offer to sell or the solicitation of an offer to buy any investment. Whilst the information contained on this site has been given in good faith and every effort has been made to ensure its accuracy, Galilee accepts no responsibility for loss occasioned as a result of reliance placed on any parts of the contents of this website and makes no warranty as to the accuracy of any such information or content.

By clicking "I accept" means you accept the following terms and conditions of use of this website:

  1. You agree that you are an Accredited Investor or Institutional Investor as defined by the Securities and Futures Act (Cap. 289) of Singapore.
  2. You also agree not to construe any of the information presented in this website as (1) an offer of any fund or security, (2) a solicitation of an offer of any fund or security, and (3) investment advice on any fund or security.
  3. Galilee makes no representations or warranties whatsoever about any of the content of this website or about content of any other website which you may access by hypertext link through this website. When you access any other website by means of a link from this website, you should understand that your access to that other website is independent of Galilee and Galilee has no control over the content of the website, nor does Galilee in any way endorse or approve the content of that website.
  4. You agree with our data protection policy.

If you are in any doubt about the information contained on this website please contact us or consult your professional financial adviser, lawyer or accountant.