Alternative Solutions
QUALIFIED INVESTORS
Institutional-grade strategies designed to complement traditional portfolios through uncorrelated,
macro-informed, and private market opportunities
Global Macro Derivatives Overlay
The Global Macro Derivatives Overlay offers tactical, cross-asset exposure
for qualified investors seeking differentiated return sources.
Strategies are driven by top-down macro themes across rates, FX, commodities,
and equity indices, implemented through liquid derivative structures
with predefined risk parameters.
The objective is to enhance diversification and provide uncorrelated returns
through selective, risk-controlled positioning — not speculative leverage.
Each overlay is structured within strict mandates, incorporating volatility targets,
collateral management, and ongoing oversight.
These portfolios reflect Vigo Capital’s discretionary macro expertise within
a transparent, performance-aligned framework.*
Terms apply Minimum ≈ $2.2M Performance-aligned fees
Private Market Opportunities
Private Market
Opportunities
Qualified investors gain access to curated private equity, real estate, infrastructure, and late-stage
venture investments.
Opportunities are selected for their strategic fit within long-term portfolios and their alignment with macroeconomic trends.
Each opportunity undergoes due diligence focused on sponsor quality, cash-flow profile, and structural integrity.
Allocations are sized relative to liquidity preferences and diversification needs, integrating seamlessly within Vigo Capital’s
broader portfolio framework.
Qualified · Multi-year lockups · Institutional diligence
Private Market Opportunities
Fixed Income &
Structured Products
Custom fixed-income structures provide defined risk and return parameters tailored to client objectives.
These may include structured notes, credit-linked instruments, or yield enhancement solutions aligned with macro views.
Emphasis is placed on transparency, liquidity awareness, and credit quality, with every structure reviewed for suitability
under regulatory standards.
These strategies serve as bridge instruments between traditional fixed income and opportunistic macro positioning,
allowing for measured flexibility within diversified mandates.
Predefined parameters · Suitability reviewed · Custom-engineereddiligence
Risks
Risks
Illiquidity
Some strategies involve multi-year commitments or limited redemption windows.
Leverage / Derivatives
Overlay strategies may employ derivatives that introduce basis or margin risk.
Valuation Lag
Private investments may be reported with delayed pricing.
Fees
Alternative strategies may include layered or performance-based fees; review offering documentation carefully.