Monthly MUFG calculated Net Asset Value
Updated 31 January 2024
Vantage Global Investment FundUS$ 472.00

Weekly Vantage calculated indicative Net Asset Value
Updated 28 February 2024
Vantage Global Investment Fund US$ 464.24

For a Key to Benchmarks, please click on Prices&Returns button and then select the Fund Returns pages or click on the following link for Vantage Global Investment. Sources: MUFG Alternative Fund Services (Cayman) Ltd and Thomson Financial.
Last updated: 29 February 2024, Values as of 31 January 2024.

Welcome

Welcome to Vantage Investment Management Limited's site.

Vantage Investment Management Limited provides investment management services to the Vantage Global Investment Fund.


For more details on the Fund, please click here.

Join our Members' Forum

We invite new shareholders of the Vantage Fund and other interested parties to register for access to the Members' Forum which contains the Quarterly and Annual Reports, as well as articles and notes of specific interest to Members. Please click below to register.

Register

Latest Articles in Members' Forum (click here to view)

2nd February 2024Vantage Global Monthly Summary for January 2024
1st February 2024Vantage Global Annual Report to 31 December 2023
5th January 2024Vantage Global Monthly Summary for December 2023
5th December 2023Vantage Global Monthly Summary for November 2023
3rd November 2023Vantage Global Monthly Summary for October 2023
31st Oct 2023Vantage Global Quarterly Report for Quarter 3 2023
4th October 2023Vantage Global Monthly Summary for September 2023
4th September 2023Vantage Global Monthly Summary for August 2023
3rd August 2023Vantage Global Monthly Summary for July 2023
31st July 2023Vantage Global Quarterly Report for Quarter 2 2023