Licensed by the Monetary Authority of Singapore to operate as a Capital Markets Services licensee since 26 February 2014.
An institutional home, on the record.
None of what follows asks you to take our word for it. Each item is a matter of public record or sits in a document we will hand you.
Nuvest Capital Pte. Ltd.
Licensed by the Monetary Authority of Singapore as a Capital Markets Services licensee since 26 February 2014.
Principal activity: fund management and investment management services. Annual financial statements independently audited under Singapore Financial Reporting Standards.
- Registered office
- 1 George Street, Singapore
- Company registration
- 201203037N
- Regulator
- Monetary Authority of Singapore
- Auditor
- YouTrust Assurance LLP, Singapore
Strategies currently operating are being consolidated into this entity.
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Singapore domicile
Fund and manager operate under Singapore law and MAS supervision.
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Independent audit
Annual financial statements audited by an external firm of public accountants.
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Direct exchange access
Orders are placed under exchange membership rather than through a third-party broker; investor capital is not held by the manager.
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Investor reporting
Monthly statements, with underlying trade detail available for inspection on request.
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Accredited investors only
Offered exclusively to investors who meet the applicable accredited or professional investor definition.
The manager, on the record.
Nuvest Capital Pte. Ltd., incorporated in the Republic of Singapore. Registered office at 1 George Street, Singapore.
Financial statements for the year ended 31 December 2025, audited by YouTrust Assurance LLP, Singapore, with an unqualified audit opinion.
Verify it yourself. The Monetary Authority of Singapore maintains a public register of licensed financial institutions, and ACRA a public register of Singapore companies. The audited financial statements for 2024 and 2025 are provided on request. We would rather you check than be convinced.
The trading record presented separately was generated by the existing trading entities. The strategies are being consolidated into this manager.
What we will show you next.
This website describes how the strategy works. The next conversation is where we evidence it — document by document, at whatever level of detail you want.
Trade-confirmed reconciliations
Month-by-month results reconciled from exchange trade-confirmation files: gross result, every exchange charge and tax, and the net figure.
Strike-level matched positions
Every matched pair — contract, strike, expiry, lots on each leg and the result — so the hedge can be verified line by line.
Exchange and settlement statements
Independent statements from the exchange and ledger movements for the trading accounts.
Audited financial statements
The manager's independently audited annual accounts.
The desk itself
A working session with the execution team, in Singapore or online, covering how positions are selected, sized and exited.
Check the evidence, line by line.
Trade-confirmed reconciliations, strike-level matched positions, exchange statements and audited accounts — shared under a mutual confidentiality agreement.