Olive Asset Management is the global asset management platform of Noah Holdings Limited (NYSE: NOAH; HKEX: 6686), a leading wealth and asset management service provider for global Chinese high-net-worth and ultra-high-net-worth clients. As a core vehicle for Noah’s AI strategy and a specialist in global asset allocation, Olive maintains deep ties with asset managers and capital markets worldwide.
Olive operates across Hong Kong, Singapore, Japan, and the U.S. , supported by a global research network spanning Mainland China, Hong Kong, the U.S., Singapore, Japan, and Canada. We focus on alternative investments, private equity, hedge funds, U.S. direct investments , and diversified multi-asset solutions for the AI era.
We manage portfolios through a disciplined "Safety, Core, Growth" framework. Since 2016, Olive has built one of Asia’s earliest and most systematic strategic positions in AI infrastructure , with exposure to 200+ AI and frontier technology companies through 50+ venture capital sub-funds and 100+ direct investments.
As of December 31, 2025 , Noah Holdings—through subsidiaries including ARK, Gopher Asset Management, and Olive Asset Management—managed nearly USD 30 billion in onshore and offshore advisory and custodial assets.
• Develop a structured understanding of global asset classes, market cycles, and investment products, including funds, fixed income, equities, alternatives, and multi-asset strategies.
• Support market research, product due diligence, manager/fund screening, peer analysis, and ongoing monitoring; turn complex information into clear investment insights.
• Assist in building portfolio ideas, asset allocation views, and product solution proposals based on return objectives, risk budgets, and liquidity needs.
• Work closely with Noah’s wealth management and advisory teams to translate investment views into clear, client-relevant materials and solution narratives.
• Prepare investment presentations, factsheets, quarterly reviews, and p
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