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Smart Capital Management is a professional, fully licensed asset manager based in Astana International Financial Center.

Bespoke portfolio management, pre-set investment strategies, wealth planning and advice.

Our approach is based on forward-looking planning, strategic asset allocation and balanced risk management.

An ability to build and execute robust long-term portfolios differentiates us from amateur investors seeking quick returns in short term trades, individual stock-picking or bets on trendy high-risk assets.

Access to a broad range of traditional and alternative asset classes and financial instruments.

We ensure the highest level of service and investment options by partnering with well-established globally recognised brokerage firms, banks and custodians across US, UK, Switzerland, Singapore and Hong Kong.

Available for individuals and businesses with at least $1m. of investable assets. Tailored Investment strategies for public markets based on unique objectives and constraints of the client.

Bespoke asset

management

Ready-to-invest evergreen growth investment strategy with 10-12% long-term return objective. Open to all clients with at least $10k of investable assets.

Leveraged Equity Index 

investment strategy

Structured finance instruments aimed to provide liquidity, capital optimisation, access to alternative asset classes and much more.

Investment solutions

and advice

We are a close-knit team of investment professionals driven by the same vision and set of values

Our business is built on trust, impeccable reputation and professional knowledge.

Serzhan is a Certified Financial Analyst and a Warwick Business School MSc Finance graduate. He also holds a Bachelor's degree in International Finance from Eurasian University and the University of Wisconsin.

Serzhan specializes in public financial market instruments. He has extensive experience in working with stocks, bonds, as well as structural and derivative financial instruments.

Adherence to the highest level of values and ethics as well as focus on professionalism and long-term results allow Serzhan to build trusting and mutually beneficial relationships with clients.

Over 15 years of experience

Warwick Business School, UK

CFA Institute, US

Serzhan Madiyev, CFA

Serzhan is a founding CEO with extensive experience in working with stocks, bonds, structured and derivative financial instruments. He leads strategic development of the business, as well as specializes in public financial market instruments, mainly on international stock exchanges.

​Mikhail is a Certified Financial Analyst and London Business School MBA graduate. He also holds Economics degrees from the University of Warwick and KIMEP University. ​​

Mikhail is based in London and is mainly advising on the development and execution of pre-set investment strategies. He has deep knowledge and understanding of European markets, as well as traditional and alternative asset classes, including real estate.

Mikhail firmly believes in fundamental analysis and research-based approach to portfolio managment.

Over 10 years of experience

London Business School, UK

CFA institute, US

Mikhail Lim, CFA

Mikhail is advising on the development and execution of pre-set investment strategies. He is particularly interested in generating new investment ideas with high long-term potential based on emerging markets and industry trends.

Kanat has an MBA degree from KAIST business school (South Korea) and a Master's degree in International development policy from Duke University (USA). He also holds Bachelor's degree in economics from Eurasian University.

Previously, he held senior positions in the Housing Guarantee Fund JSC, Baiterek National Holding. Over the years, he worked in the public and private sectors, including the presidential administration, World Bank projects.

Kanat has over 15 years of experience in finance, economics, and real estate. In the company is responsible for the development of investments in the real estate sector.

Over 15 years of experience

KAIST Business School, Korea

Duke University, USA

Kanat Ibrayev, MBA

Kanat is primarily leading investment strategies into the real estate sector. Over the years, he worked in the public and private sectors, including the Kazakshtani development institutions and World Bank projects. 

Tatyana is a Certified Anti-Money Laundering Specialist (ACAMS, US 2016) She has extensive experience in the development and organisation of AML and FT procedures.

 

She previously worked in leading financial institutions in Kazakhstan, where she was responsible for the compliance, financial control and monitoring, including AMLL activities. 

Over 20 years of experience

Eurasian University, KZ

Tatyana Peskovaya, CAMS

Tatyana is a Compliance officer and is responsible for organization of anti‐money laundering policies, procedures, systems and controls as well as day-to-day oversight of the Company's compliance with the AFSA rules and international best practices.

Smart Capital Management

Professional asset management

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