RIVOLI FUND MANAGEMENT
Diversified Rivoli Capital
 P Share NAV 118.51 MTD 0.8%
 I Share NAV 135.83 MTD 0.87%
 F Share NAV 147.74 MTD 0.91%

As of 07/18/2019

Rivoli International
 E Share NAV 582.8 MTD 1.66%
 U Share NAV 144.66 MTD 1.79%

As of 07/18/2019

Rivoli International V9
 E Share NAV 216.55 MTD 3.54%
 U Share NAV 193.32 MTD 3.9%

As of 06/26/2019

Long / Short Equity Rivoli Equity
 E Share NAV 142.11 MTD 0.02%
 U Share NAV 170.23 MTD 0.18%

As of 06/27/2019

Asset Allocation Rivoli Optimal Allocation
 P Share NAV 119.1 MTD 0.29%
 I Share NAV 119.84 MTD 0.32%
 U Share NAV 148.61 MTD 0.17%

As of 07/18/2019

Long / Short Fixed Income Rivoli Long Short bond
 P Share NAV 169.19 MTD -0.09%
 I Share NAV 227.38 MTD -0.06%

As of 07/18/2019

History

Over 20 years of History

  1. 1996

    Creation of Rivoli Fund Management and launch of first CTA Program – Rivoli International

  2. 2000

    The CIC Group offered a LMBO to the founding partners

  3. 2001

    Launch of the Rivoli Conservative Fund and the Rivoli Long Short Bond Fund

  4. 2004

    Launch of our Long Short Equity Strategy

  5. 2006

    Firm's ownership is extended to four key people

  6. 2008

    Launch of the Rivoli Capital Fund

  7. 2011

    Lipper Fund Awards for Rivoli Long Short Bond Fund & HFM Week Award for Rivoli Equity Fund

  8. 2013

    Launch of the Rivoli Optimal Allocation Fund

  9. 2014

    HFM Awards for Rivoli International Fund

  10. 2015

    HedgeFund Award for Rivoli Equity Fund

  11. 2019

    UCITS HedgeFund Award for Rivoli Capital