Client Center

Investor Relations

Address
Central, Hong Kong

Fund Terms & Service Providers

Fund NameValue Star Master Fund
ManagerValue Star Asset Management (HK) Limited
TypeHedge Fund
DomicileCayman Islands
Base CurrencyUSD
Prime BrokersMorgan Stanley, CICC
AdministratorSS&C Fund Services
AuditorErnst & Young
Legal CounselDeacons, Campbells
Q: What is Value Star's investment strategy?
We use a multi-asset long/short strategy across global markets, covering equities, fixed income, derivatives, and commodities while pursuing long-term absolute returns.
Q: How does Value Star control risk?
We maintain a multi-layer risk management process covering position limits, drawdown alerts, stress testing, and ongoing portfolio monitoring.
Q: Who is the fund intended for?
The fund is intended for professional investors. Investors should review offering documents and seek independent professional advice before investing.
Q: How can subscriptions and redemptions be arranged?
Please contact the investor relations team for current dealing terms, documentation, and operational procedures.
Q: How transparent is reporting?
We provide periodic reports to professional investors, including performance, portfolio commentary, and risk indicators where applicable.