Markets and Services

Our Prime Brokerage Services group provides a wide array of prime brokerage products, peak execution, financing and clearing services. The breadth of prime brokerage services, includes cross-asset class offerings for financing, clearing and execution on an international scale.

As part of our broader Investment Bank product offering, our PBS team offers equities and fixed income financing, and for added value, access to our Agency Derivatives Services group and to our Capital Solutions team.

The supplemental offerings include:
  • analytics and execution technologies
  • asset protection strategies
  • margining solutions
  • industry intelligence
Risk Management
The Prime Brokerage Group provides financing solutions and risk management options that allow hedge fund managers to act on a wide array of investment strategies. In doing so, our team of experts can structure a framework that is reliable and predictive across volatile and favorable market conditions.
Our Mission:
  • optimize financing leverage and asset protection
  • deliver predictable models and stable margin policies
  • deliver intuitive and relevant risk management analytics
  • foster communication with our elite clients
Risk Modeling
Our comprehensive risk model is integrated fully to reflect our clients’ strategies within a single and flexible stress test. This a/b test model is transparent and utilizes predefined scenarios that are reliable and stable even within market volatility. Using this predictive model, we can provide a unified risk methodology across a wide array of factors.
Our Capital Introduction team provides our select hedge fund clients with exclusive access and introduction to the world’s leading pension plans, endowments and foundations, family offices and sovereign wealth funds, as well as insurance companies, funds of funds, private banks and consultants.

Working seamlessly across our worldwide network, our team tracks the information gained from our manager and investor connections to curate the data to effectively guide our client introductions.
 
Pre-Marketing “Consultative” Work
The supplemental offerings include:
  • analytics and execution technologies
  • asset protection strategies
  • margining solutions
  • industry intelligence
Introduction Programs
  • Targeted introductions to a specialized investors group
  • Quarterly Milestones publication announcing new launches
Hedge Fund Industry Analysis
  • Annual investor survey
  • Quarterly webcast on hedge fund trends/themes
  • Customized reports tailored to our clients’ needs
Cornelius Vanderbilt Capital Management offers clients secured financing for cash and synthetic equities and fixed income products as a subsidiary of our Markets division. Our financing clients have an advantage by benefitting from the services of our sales and trading teams, and with added access to our data, analytics, and research.
As an international financial services organization, Cornelius Vanderbilt Capital Management avails our clients the option for asset protection through our different legal entities. As an added value, our proprietary Global Netting Agreement (GNA) provides flexible and transparent margin methodologies for cross-asset class portfolios.
Prime Brokerage Services
Our Prime Brokerage Services group provides a wide array of prime brokerage products, peak execution, financing and clearing services. The breadth of prime brokerage services, includes cross-asset class offerings for financing, clearing and execution on an international scale.

As part of our broader Investment Bank product offering, our PBS team offers equities and fixed income financing, and for added value, access to our Agency Derivatives Services group and to our Capital Solutions team.

The supplemental offerings include:
  • analytics and execution technologies
  • asset protection strategies
  • margining solutions
  • industry intelligence
Risk Management
The Prime Brokerage Group provides financing solutions and risk management options that allow hedge fund managers to act on a wide array of investment strategies. In doing so, our team of experts can structure a framework that is reliable and predictive across volatile and favorable market conditions.
Our Mission:
  • optimize financing leverage and asset protection
  • deliver predictable models and stable margin policies
  • deliver intuitive and relevant risk management analytics
  • foster communication with our elite clients
Risk Modeling
Our comprehensive risk model is integrated fully to reflect our clients’ strategies within a single and flexible stress test. This a/b test model is transparent and utilizes predefined scenarios that are reliable and stable even within market volatility. Using this predictive model, we can provide a unified risk methodology across a wide array of factors.
Capital Introduction Services
Equty Financing
Capital Solutions
Agency Derivatives Services
Futures
Securities Lending
Municipal Finance
Our Service Practice Areas

Asset Management

Leadership

Members of Cornelius Vanderbilt Capital Management pride themselves in compassion, integrity, and guidance in managing client wealth. We display confidence in executing timely fiscal revisions, upholding our reputation for client-focused service.

Risk Management

Diversification-seeking individuals seek diverse investment solutions, backed by sound research. Our solutions mitigate risk while increasing long-term returns.

Expertise

Our team members possess deep expertise in their respective fields and are highly sensitive to particular client challenges and obstacles.

Global Presence

Our globally operated offices allow for local client consultation and face-to-face interactions. We are able to offer highly focused local market expertise and advisory services based on real-time research and local presence.