MVP Asset Management is pleased to offer discerning private investors the same access to top performing institutional money management expertise through investment products tailored to your needs. By providing access to attractive, low risk investment opportunities usually only available to institutional investors or ultra high net worth individuals, private investors can enhance their traditional portfolios with investments designed to deliver uncorrelated, consistent long-term capital growth.

The MVP Fund of Funds is available to the private investor through its Retail Series 2 USD, GBP and EUR share classes. For more information, including investment terms specifically relating to the private investor, please refer to the fund documents available in download format on this site.

What is the Objective of the MVP Fund of Funds?

The fund's objective is to simultaneously protect and maximize capital appreciation within acceptable risk/reward boundaries through investing in a portfolio of underlying hedge funds.

The fund aims to produce positive investment returns in all market conditions, demonstrating little to no correlation to the traditional asset markets, thus optimizing returns relative to the risk encountered to achieve such returns.

What Does the MVP Fund of Funds Invest In?

The fund seeks to generate positive returns through a fund of funds approach and invests in all fund asset classes and hedge fund styles on a global basis.

More Information

The MVP Fund of Funds Limited is available in three share classes - USD, GBP and Euro and is listed on the Luxembourg Stock Exchange www.bourse.lu.

For more information regarding this product, please review the documents available in download format including the current monthly performance report, fund presentation, offering memorandum and subscription documentation.

Alternatively, the fund’s latest $/USD price/NAV can be viewed on Bloomberg under ticker symbol MVPFOFA VI (ISIN code - VGG6378B1417). The GBP (Sterling) class shares can be viewed under ticker MVPFOFB VI (ISIN code - VGG6378B1581) and the €/Euro class shares can be viewed under ticker MVPFOFC VI (ISIN code – VGG6378B1664).

Investing in the Fund through a Custodian

IRA, 401k and any other tax exempt investors can invest in the fund through one of the following:

www.fidelity.com
www.Schwab.com
www.tdameritrade.com
www.pensco.com
www.fiserviss.com
www.mtrustcompany.com

Please note that none of these custodians has sponsored MVP Asset Management LLC or the MVP Fund of Funds in any way, nor have they reviewed and researched the fund in any respect in terms of making any kind of investor recommendation. Simply, they are custodians that will hold your investment on your behalf (should you become a client of theirs). As a custodian, each of the aforementioned companies has reviewed the MVP Fund of Funds Limited to ensure that the products are compliant with US law in respect to eligibility for retirement account investment.


Service Providers
Banker VP Bank (listed on the Swiss Stock Exchange) www.vpbank.com
Fund Administrator Deutsche Bank Hedge Works www.hedgeworks.com
Auditor BDO Auditors Limited www.bdo.com
USA Law Firm Kleinberg, Kaplan, Wolff & Cohen, P.C www.kkwc.com
Morrison and Foerster LLP www.mofo.com
Offshore Law Firm Maples & Calder www.maplesandcalder.com
UK Law Firm Cummings Solicitors www.cummingslaw.com
Investment Manager MVP Asset Management (USA) LLC www.mvpam.com
Investment Advisor MVP Asset Management (UK) LLP www.mvpam.com



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  • Type of Fund: BVI Public Fund of Funds
  • Investment Strategy: Multi-strategy Fund of Funds with a focus on Asset Based Lending Strategies
  • Target Returns: Between 8% and 12% with low volatility and correlation to traditional asset classes
  • Share Classes: Institutional and Retail Share Classes
  • Currencies: USD, GBP and EUR (GBP and EUR are currency hedged share classes)
  • Launch Date of Original USD Share Class: 1st July 2004
  • Subscription and Redemptions: Monthly, a 5% redemption penalty applies during the first 90 days. Redemption notice is 60 days.
  • Institutional Share Class Fund Fees: 1.5% Annual Management Charge and 5% performance fee based on a High Water Mark
  • Retail Share Class Fund Fees: Up to 5% initial upfront charge plus 1.9% Annual Management Charge
  • Minimum Investment: Institutional Share Classes: $100,000, £100,000 and €100,000. Retail Share Classes: $5,000, £3,000 and €5,000.