Company Background

Company Background

Chelsea Securities Limited (“Chelsea Securities"), established in 1989, is a Hong Kong-based private independent investment management company. Chelsea Securities invests clients’ money in a broad range of listed investments and asset classes primarily in the Asian / Australian, ex-Japan region. In addition to managing the South Pacific Fund (below), the Company is also a participant of The Stock Exchange of Hong Kong Ltd., as a licensed broker-dealer and trades listed Hong Kong equity securities on the Hang Seng Index for its clients. Chelsea Securities are currently licensed under the governance of the Securities and Futures Commission (“SFC”) of Hong Kong to conduct business relating to Dealing in Securities(Type 1 license), Advising on Securities(Type 4 license), Advising on Corporate Finance(Type 6 license), and Asset Management(Type 9 license).


The South Pacific Fund 

The South Pacific Fund is a long-only equity fund solely managed by Chelsea. This fund invests in high-quality, undervalued companies listed in the Far East / Australian region, excluding Japan. In order to realize value, the fund includes small to medium sized companies with a market capitalization of under USD 400 million at the time of acquisition. As such, investment decisions by the fund manager may include investing in companies that could be considered small, or out of favor with prevailing market sentiment.


Future Developments

A consortium of new investors was introduced in 2015. With the new investors bringing along with a strong network of contacts and the company professional team, they will support the inherent business optimization, and the expansion of the new business. The goal is to position Chelsea Securities Limited as an outstanding asset management company, offering a full range of services to our customers, outperforming our value proposition and leading the way in the Greater China region.



LEGAL NOTICE:

The information contained in this website is not intended and should not be used or construed as an offer to sell, or a solicitation of any offer to buy, securities of any fund or other investment product in any jurisdiction. No such offer or solicitation may be made prior to the delivery of definitive offering documentation. The information in this web site is not intended and should not be construed as investment, tax, legal, financial or other advice.123