TORANOTEC ASSET MANAGEMENT

TORANOTEC Asset Management’s mission is to deliver innovative,
high-quality investment strategies that intersect across specialist Japan
focused products and best in class global offerings.
For institutional clients, we offer curated global alternative strategies
anchored in deep research and product expertise.
For individual investors, we provide seamless access to globally diversified
and high-conviction portfolios through proprietary technology and a digitally integrated platform.
With strategies across equities, fixed income and alternatives,
TORANOTEC Asset Management is simultaneously Japan's investment gateway
to the world and world’s product entry to Japan.

FUND INFORMATION

  • For Individual Investors
  • For Institutional Investors

For Individual Investors

Toranoko

Toranoko is a smart, automated investment service that turns your everyday purchases into long-term wealth. By rounding up the spare change from credit card and e-money transactions—based on a user-defined increment—Toranoko automatically invests those small amounts daily, helping users build assets effortlessly over time. With just one simple choice from three professionally managed funds aligned to your risk appetite, you can start globally diversified investing in stocks, bonds, and more from as little as 5 yen, in 1-yen increments. Toranoko also features unique integrations—such as investing with points or airline miles—making the experience fun, intuitive, and accessible even for first-time investors. It’s designed to support stress-free, long-term asset building for anyone. To get started, simply open an account through the Toranoko app or our official website. Visit https://toranoko.com/ for more details.

Toranoko PLUS

Toranoko PLUS is a new investment platform designed for experienced investors seeking differentiated, high-conviction strategies. The service features actively managed portfolios, including a Japan public equity strategy led by a seasoned team with deep market expertise. With a focus on product-led investing, Toranoko PLUS offers curated access to innovative funds typically reserved for institutional investors, delivered through a modern digital experience.

TORANOTEC Active Japan (TAJ)

Toranotec Active Japan (TAJ) is a high-conviction, actively managed equity fund targeting under-researched small and mid-cap companies driving growth, transformation, and long-term value creation in Japan. The strategy combines rigorous bottom-up analysis with dynamic portfolio construction to identify companies undergoing structural shifts in profitability, governance, or business model. TAJ also leverages a proprietary cash management system that enhances capital efficiency and deployment flexibility—enabling the strategy to stay fully invested in conviction ideas while optimizing risk-adjusted exposure through liquidity cycles. Designed for investors seeking differentiated access to Japan’s evolving equity landscape, TAJ offers a disciplined, research-led approach to capturing alpha through deep research and selective positioning.

Jewel Box Fund

Jewel Box FundJewel Box Fund provides investors with diversified global exposure to high-quality private assets, targeting consistent, strong, risk-adjusted returns with low correlation to traditional markets. Managed by TORANOTEC ASSET MAMAGEMENT, the fund invests via a fund-of-funds approach to construct a portfolio of superior global alternative strategies, including SME loans, residential transitional loans, and purpose-built student accommodation with no use of leverage. With its unique combination of rigorous manager selection, diversification, disciplined risk management, and access to hard-to-reach private assets, Jewel Box stands out as a compelling solution to enhance portfolio resilience and unlock new sources of alpha typically only available to large institutional investors.

For Institutional Investors

Global Student Dormitory Fund

Student Accomodation FundGSA Coral Student Portfolio is a global real estate strategy focused exclusively on purpose-built student accommodation (PBSA) in high-demand education markets. The fund targets stable, inflation-linked income and long-term capital growth by investing in a blend of fully operational student housing assets and carefully selected development opportunities in undersupplied urban university hubs. With exposure across the UK, US, Europe, Japan, and Australia, the portfolio is designed to capture strong occupancy, pricing power, and long-term demand growth driven by rising global student mobility and structural shortages of quality housing. The fund is managed by Global Student Accommodation (GSA), a market-leading platform with over 30 years of experience in the PBSA sector and US$6.5 billion AUM across the entire GSA Group platform. As of 2024, GSA oversees more than 98,000 student housing beds across 20+ countries worldwide.

Activist Engagement Fund

Sazalle Engagement Fund is a concentrated Japan equity strategy focused on unlocking value in underappreciated small and mid-cap companies trading at deep discounts to intrinsic value. Through direct, hands-on engagement with boards and management of investee companies, the fund aims to catalyze re-ratings in businesses often trading at single-digit earnings or EBITDA multiples—despite strong fundamentals and clear growth potential. Led by a seasoned team with over 40 years of combined public markets and board-level experience in Japan, Sazalle deploys a disciplined, bottom-up investment process coupled with strategic engagement to drive both operational improvements and multiple expansion. In a market undergoing structural shifts in governance and capital efficiency, the fund offers a differentiated approach to alpha generation.

UK Litigation Fund

The Katch Litigation Fund offers sophisticated investors access to a high-conviction, uncorrelated private credit strategy built on the team’s deep expertise in UK legal finance. Managed by Katch Investment Group—a global platform with over $1 billion in assets under management, the Fund targets high-volume, short-duration financial sector legal claims via specialist law firms with strict case selection, strong legal merit, and attractive recovery profiles. With no leverage, robust downside protection, and favorable return asymmetry, the strategy is designed to deliver consistent and strong risk-adjusted returns with minimal correlation to broader markets. The investment team brings decades of combined experience across structured credit, law, and litigation risk underwriting.