Our Approach

MV Credit invests across the capital structure, providing tailored fund solutions to investors. Investments are sourced through strong long-term relationships with top-tier sponsors.

Our investment approach follows a buy-and-maintain strategy, constructing diversified portfolios of European credits that typically have a market-leading position in stable sectors.

MV Credit targets non-cyclical, defensive industries and regions where the team has a deep understanding, such as subscription-based software services and the healthcare sector in DACH and the Nordics.

With each successive fund, we have achieved a top quartile track-record, tested over multiple market cycles.

Our Funds

We offer senior-focused as well as subordinated debt funds. These can be structured via traditional commingled funds (levered or unlevered), as well as bespoke managed accounts.

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