Important notice

Professional and Well-Informed Investors only

V PLUS PLUS Ltd is an Alternative Investment Fund Manager authorised and regulated by the Cyprus Securities and Exchange Commission (“CySEC”) under licence number AIFM22/56/2013.

Information concerning the funds and investment opportunities presented on this website is intended exclusively for Professional Investors and Well-Informed Investors, where applicable and as specified in the relevant fund documentation, who are legally permitted to access such information in their country or jurisdiction.

The information provided on this website is for general information purposes only and does not constitute investment, legal, tax or financial advice, a recommendation, an offer to sell or a solicitation to purchase any financial instrument, fund interest, product or service.

Investments in alternative investment funds involve risks, including the possible partial or total loss of the invested capital. Past performance is not a reliable indicator of future results.

By clicking “Proceed”, you confirm that:

  • you qualify as a Professional Investor or Well-Informed Investor;
  • you are legally permitted to access this website and its contents;
  • you have read and understood this notice.

Asset classes

V PLUS PLUS develops and manages diversified alternative investment strategies for Professional and Well-Informed Investors, combining real estate, global macro exposures and disciplined risk management.

The asset classes and market exposures described below are used, where permitted by the relevant fund or sub-fund documents, to implement the firm's current strategies, and may support income generation, capital appreciation, liquidity management and downside protection, depending on the objective, risk profile and limits of each strategy. They should not be read as separate standalone investment strategies.

Real Estate

Durable income, inflation-linked cash flows and long-term capital growth. We invest in income-generating real estate across the EMEA region, concentrating capital where structural demand is strongest and active management can compound value.

Fixed Income

A resilient component within the firm's strategies: dependable income, active duration and credit management, and the liquidity to act when markets dislocate. Bond exposures built to hold through the full cycle.

Global Listed Equities

Selective exposure to the world's listed companies, grounded in fundamental research and disciplined portfolio construction, implemented within the firm's strategies where permitted by the relevant fund documents.

Multi-Asset & Global Markets

Multiple sources of return within the firm's macro strategies: strategic allocation, tactical positioning and continuous risk oversight across global markets, built to navigate changing economic conditions.