Steady Strategy. Lasting Value.
As an asset management firm, Pan Ocean Capital is built on a commitment to disciplined capital allocation, thoughtful investment management, and long-term value creation. Our firm brings together experienced professionals focused on identifying investment opportunities, managing risk, and building diversified portfolios across regional and international markets.
As of the close of Q2 2026, Pan Ocean Capital’s diversified asset management portfolio reached approximately US$275 million in Assets Under Management (AUM). From an aggregate original capital base of approximately US$180 million, the portfolio has generated more than US$95 million in investment and assessed economic value, representing approximately 53% growth.
The portfolio spans a diversified range of asset classes, including fixed income, private equity, venture capital, private credit, mining, and alternative investments, with exposure across the GCC and international markets. This diversified approach enables Pan Ocean Capital to pursue differentiated opportunities while balancing risk across asset classes, sectors, and geographies.
This growth reflects Pan Ocean Capital’s disciplined approach to capital allocation, rigorous investment analysis, active portfolio management, and prudent risk management. By combining regional market insight with access to international opportunities, the firm remains focused on preserving capital, capturing sustainable growth opportunities, and creating long-term value for its investors.
At a Glance
At Pan Ocean Capital, we believe that thoughtful strategy, disciplined execution, and a global perspective are essential to building lasting financial strength. Our mission is to deliver solutions that not only meet today’s needs but also support sustainable growth for the future.