CRD: 115788
Sarasin Asset Management Limited
$555.0M Total AUM
$555.0M Disc. AUM
-- 3Y CAGR
7 Employees
140 ADV. Clients
25 yrs Firm Age
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- Custodian
- BNY Mellon · RBC
- Clients
- Retail and Institutional
- Platforms
- Available
- Established Date
- 11-01-2000
- Office Locations
- 3
Office Locations
50 George Street London --
Juxon House 100 St. Paul's Churchyard London --
-- Austin TX
About Sarasin Asset Management Limited
Sarasin Asset Management Limited is a London-based RIA with 3 offices. The firm has been operating for 25 years. Managing $555.0M in total assets under management, with 7 advisory representatives. They custody assets with BNY Mellon and RBC.
Team overview
-- AVG AGE
$79.3M AVG AUM / ADVISOR
$4.0M AVG AUM / CLIENT
10.2 yrs AVG TENURE
7 Employees
7 Advisory Reps
1 RIA Reps
25yrs Firm Age
Insights
Available
Available
Available
Available
Available
Available
Available
Available
Accredited Investors
Available
Asset Classes
Available
Client Personas
Available
Custodian
Available
Fund Managers
Available
Investment Themes
Available
Investment Vehicles
Available
Services
Available
Technology
Available
Owner & Executives
MICHAEL JAMIE GORDON BLACK
Chief Executive Officer
- CRD
- --
- Ownership
- Less than 5%
Available
Available
Available
PHILIP ALEC JAMES COLLINS
Chief Investment Officer, Partner
- CRD
- --
- Ownership
- Less than 5%
Available
Available
Available
Showing 2 of 7 owners & executives
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A
ANDREW CLYDE STEWART
Consultant
- CRD
- #2222042
Available
Available
Available
NICHOLAS ANDREW JOHN WOOD MR
Partner
- CRD
- #5219226
Available
Available
Available
Showing 2 of 9 contacts
Unlock allAssets Under Management
Total AUM
Discretionary
Non-Discretionary
| Category | Assets | AVG. Account size |
|---|---|---|
| Discretionary | $554,958,877 | $3,992,510 |
| Non-Discretionary | $0 | -- |
| Total | $554,958,877 | $3,992,510 |
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Separately Managed Accounts
Total SMA Asset: Available
Equity - Exchange:
Available U.S. Government/Agency:
Available Cash:
Available Corporate - Investment Grade:
Available Sovereign Bonds:
Available | Asset class | Assets | Assets % |
|---|---|---|
| Equity - Exchange | Available | Available |
| U.S. Government/Agency | Available | Available |
| Cash | Available | Available |
| Corporate - Investment Grade | Available | Available |
| Sovereign Bonds | Available | Available |
| Total | Available | Available |
13F Holdings | Q1 2026
| Issuer | Class | CUSIP | Ticker | % | Value |
|---|---|---|---|---|---|
| Available | Available | Available | Available | Available | Available |
| Available | Available | Available | Available | Available | Available |
| Available | Available | Available | Available | Available | Available |
| Available | Available | Available | Available | Available | Available |
| Available | Available | Available | Available | Available | Available |
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