Actively Managed Investment Fund

Capital isn’t parked.
It’s put in motion.

Loop Capital Fund, LP is a British Virgin Islands Private Investment Fund pursuing long-term capital appreciation through an actively managed investment strategy centered on disciplined capital allocation, continuous portfolio oversight and prudent risk management.

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About the Fund

Overview

Loop Capital Fund, LP is a British Virgin Islands limited partnership established as a Private Investment Fund under the applicable laws of the British Virgin Islands.

The Fund seeks long-term capital appreciation through an actively managed investment strategy focused on disciplined capital allocation, prudent risk management, and continuous portfolio oversight. Its investment approach is based on identifying opportunities where active decision-making and disciplined execution may enhance long-term value creation.

Investment Philosophy

The Fund is built around the principle that capital should be actively managed rather than passively held.

Investment decisions follow a continuous process of research, capital allocation, portfolio monitoring, realization of investment opportunities, and capital reallocation. This disciplined cycle enables the investment process to adapt to evolving market conditions while maintaining a consistent focus on long-term objectives and risk-adjusted returns.

Rather than relying on short-term market movements, the Fund emphasizes fundamental analysis, disciplined execution, and thoughtful portfolio management throughout each stage of the investment lifecycle.

Fund Structure

Structure British Virgin Islands Limited Partnership
Regulatory Status Private Investment Fund
Domicile British Virgin Islands
Investment Strategy Actively Managed Investment Portfolio
Eligible Investors Investors meeting applicable eligibility requirements

Governance

The Fund operates within a governance framework designed to promote sound decision-making, transparency, and regulatory compliance.

Its operations are supported by internal policies and procedures addressing investment oversight, risk management, valuation, anti-money laundering compliance, investor due diligence, and operational controls. These frameworks are intended to support the consistent administration of the Fund while maintaining alignment with applicable regulatory requirements and industry standards.

Investment Management

The Fund is managed by Kasw LLC, which is responsible for investment management, portfolio oversight, risk management, and the day-to-day administration of the Fund.

Investment decisions are guided by a disciplined and repeatable investment process, with an emphasis on capital preservation, prudent risk management, and the pursuit of sustainable long-term returns.

Additional information regarding the Fund, its investment strategy, governance framework, and subscription process is available through the Fund’s Confidential Offering Documents upon request.

Strategy

A Disciplined Investment Process

Investment opportunities are evaluated through a disciplined process combining fundamental research, risk assessment and active portfolio management.

The Fund seeks to identify opportunities where thoughtful capital allocation and continuous portfolio oversight may create long-term value while maintaining a prudent approach to risk.

Rather than pursuing short-term market movements, the investment process emphasizes disciplined decision-making, ongoing evaluation and capital reallocation as market conditions evolve.

Investment Process

The Investment Cycle

01

Capital Formation

Eligible investor capital is committed to the Fund in accordance with its governing documents, establishing the capital available for investment.

02

Investment Selection

Investment opportunities are evaluated through disciplined research, risk analysis and portfolio construction before capital is allocated.

03

Portfolio Management

Investments are continuously monitored and managed through ongoing assessment of market conditions, portfolio positioning and risk exposure.

04

Capital Reallocation

As investment opportunities are realized, capital may be redeployed into new opportunities consistent with the Fund’s investment objectives and investment process.

British Virgin Islands Limited Partnership
Private Investment Fund
Eligible Investors Only
Contact

Request Additional Information

Prospective investors who wish to obtain additional information regarding the Fund, its investment strategy or investor eligibility requirements are invited to contact us.

Email info@loopcapitalfund.com
Profile Private Investment Fund (BVI)
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