DGV offers value-added investment products and solutions.
Our U.S. large cap strategy is designed to provide exposure to U.S. large capitalization stocks, with the goal of producing higher risk-adjusted returns than passive exposures. We currently offer this strategy through the DGV Enhanced U.S. Equity Fund and separate accounts for institutional and other qualified investors.
Our DGV Multi-Factor Fund is designed to capture risk premiums across a variety of asset classes and strategies. The goal of this Fund is to produce an institutional rate of return with low beta to global equities.
Our DGV Ferndale Fund invests in U.S. equities across the market capitalization spectrum using systematic selection criteria. These selection criteria may relate to fundamental, behavioral or technical factors. The goal of this Fund is to produce returns that exceed the Russell 3000 Index with similar levels of volatility.
Our products and solutions may range from private funds employing exposure to specific risk premiums and asset classes to bespoke solutions tailored to meet specific hedging, overlay or other customized exposures as clients may require.