At 22V Asset Management, LLC (“we,” “us,” or “our”), we are committed to protecting your privacy. This Privacy Notice explains how we collect, use, disclose, and safeguard your personal information when you visit our website located at [Website URL] (the “Site”). We may collect various types of personal information, including contact information such as your name, email address, phone number, and mailing address; financial information including investment preferences; technical data like your IP address, browser type, operating system, and device information; and usage data regarding how you use our Site and services.

We may use the information we collect for several purposes, such as providing, maintaining, and improving our services; communicating with you, including responding to inquiries and sending updates; personalizing your experience on our Site; and complying with legal obligations while protecting our rights. The legal basis for processing your personal information may include your consent, the necessity of processing for the performance of a contract, and compliance with legal obligations.

We may share your personal information with third parties, including service providers who assist us in operating our Site and providing services, during business transfers in connection with a merger or acquisition, and to comply with applicable laws and regulations. We will retain your personal information only as long as necessary to fulfill the purposes outlined in this Privacy Notice or as required by law.

Depending on your jurisdiction, you may have specific rights regarding your personal information, including the right to access, rectify, delete, restrict or object to processing, and data portability. To exercise these rights, please contact us using the information provided below. We implement reasonable security measures to protect your personal information from unauthorized access, use, or disclosure; however, no method of transmission over the internet or electronic storage is entirely secure.

If we transfer your personal information outside of your jurisdiction, we will ensure that adequate safeguards are in place to protect your information. We use cookies and similar technologies to enhance your experience on our Site, and you can manage your cookie preferences through your browser settings. We may update this Privacy Notice from time to time, and any changes will be posted on this page with an updated effective date. We encourage you to review this Privacy Notice periodically.

If you have any questions or concerns about this Privacy Notice or our privacy practices, please contact us at 22V Asset Management, LLC

Partnership

The 22VAM team is highly experienced, passionate about their work, and dedicated to building genuine partnerships with investors. The philosophy of the firm is to offer competitive fees and aligned incentives to be investor friendly. The firm has embraced industry best practices with its robust infrastructure and a streamlined diligence process that simplifies evaluation for investors.

22V ARC

Our time-tested investment approach focuses on generating absolute returns across market cycles by leveraging a diverse portfolio of long and short liquid corporate credit positions. We design our strategies to capitalize on perennial structural and technical inefficiencies in the U.S. Investment Grade and performing High Yield bond markets.

Short Duration

22VAM utilizes an efficient and fundamental approach to investing in short duration liquid performing credit. It is our belief that a low correlation, income-oriented discipline enhances the overall return profile of the Fund. The strategy seeks to produce favorable risk-adjusted returns through income generation and capital appreciation.

Fundamental Research

The investment team believes fundamental underwriting on all securities during the investment process is critical. The credit analysis is conducted leveraging an extensive library of proprietary screening tools. Our due diligence process includes analysis and review of the issuer capital structure, liquidity, bond terms and covenants, as well as industry and peer comparisons. Fundamental research is an ongoing process throughout the investment cycle and continues rigorously after trade execution, supported by continuous credit monitoring. This approach enhances scenario analysis and strengthens portfolio risk management.

Long/Short and Hedging

22VAM strategy is rooted in relative value investing, utilizing market-neutral exposures to capitalize on short-term market inefficiencies and generate low-beta returns within a company's capital structure or across an industry. To mitigate residual risks and protect against systematic drawdowns, hedges are strategically overlaid, ensuring stability across a broadly diversified portfolio.