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Investments
From broad money market exposure to niche private assets our investment managers offer expertise across the investment spectrum.
MV Credit

Dual

Adding liquidity to private markets

The philosophy

Seeking to maximise return potential through responsible, sustainable investments in an attractive mix of global listed credit and European private debt.

 

Loomis Sayles
MV Credit
pie chart
  • MV Credit has traditionally offered return-enhancing solutions (closed ended vehicles where liquidity is not required) with no liquidity
  • Features a degree of liquidity, whilst retaining some "illiquidity premium"
  • Loomis Sayles has been selected as a liquid, multi-asset credit manager to provide access to liquid credit investments that complement the investments MV Credit will be making directly into private credit
  • MV Credit will target an allocation to the Loomis Sayles solutions that invest in liquid credit
  • Both managers will retain their respective investment philosophies and processes
  • Ability to tailor solution offering, EUR, USD, GBP, in a distributing and accumulating form

Source: MV Credit, as at 31 May 2024

Reasons to consider 

  • Combination of private and public credit

  • Portfolio diversification

  • Facilitate governance, no capital call management

  • Capture illiquidity and complexity premiums in the market

  • Low volatility compared to traditional public assets

  • Floating rate allocation

  • Private debt portfolio ramped up to targeted allocation 

  • Daily liquidity, subject to periodic gates

  • Responsible and sustainable investments

  • MV Credit and Loomis Sayles have been UNPRI signatories since 2012 and 2015 respectively

We raise appropriately sized funds to effectively deploy capital in a way that can achieve attractive returns for our investors and reflects the opportunity we see in the market.”
– Nicole Downer, Managing Partner and Head of Investor Solutions, MV Credit

The analyses and opinions referenced herein represent the subjective views of the author(s) as referenced, are as of the date shown and are subject to change without prior notice.

Risks to consider

All investing involves risk, including the risk of loss. Investment risk exists with equity, fixed income, and alternative investments. There is no assurance that any investment will meet its performance objectives or that losses will be avoided. There could be other differences across similar products in the same strategy. Investors should fully understand the risks and other relevant details associated with any investment prior to investing.

The team

Experienced investment team

Nicolas Escribano
Director
MV Credit
Nicole Downer
Managing Partner, Head of Investor Relations
MV Credit

The firm

MV Credit is an independently managed pan-European private credit specialist founded in 2000 with offices in Luxembourg, London, and Paris. The firm is differentiated by its experienced and independent team, with over 20 years of investment experience across multiple credit cycles and an investment philosophy built on two core principles: rigorous credit analysis and active portfolio management. Over the years, MV Credit funds have delivered attractive risk adjusted returns.
London

UK

60+

Employees

MV Credit

Featured strategies

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MV Credit Europe Corporate Senior Secured Loans
Investing in floating rate European private debt with a focus on fundamental credit analysis.

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