Asset Manager

Updated:

Mulvihill Capital Management

Mulvihill Capital Management runs enhanced-yield strategies out of Toronto, designing income-focused portfolios with derivatives and overlays for over 30 years.

Mulvihill Capital Management logo

Mulvihill Capital Management

Mulvihill provides customized investment solutions and diverse products that fit your unique life and financial situations.

General information

Firm type

Generalist

Year founded

1995

AUM

Undisclosed

Location

Region

North America

Country

Canada

City

Toronto

Corporate office

Toronto, Canada

Frequently asked questions

What is Mulvihill Capital Management's core investment approach?

The firm specializes in enhanced yield investing. It uses derivatives, covered calls, and volatility management to generate higher income from equity and multi-asset portfolios while targeting lower overall volatility than traditional long-only strategies.

How long has Mulvihill been managing enhanced yield strategies?

Mulvihill has run enhanced yield strategies for over 30 years. The firm's own materials trace its expertise in this niche back to at least the mid-1990s.

Who runs Mulvihill Capital Management?

The firm does not publicly list its leadership team or investment committee on its website. Specific portfolio manager and executive names are not available from its public disclosures.

Does Mulvihill manage separate accounts or only pooled funds?

Mulvihill's website indicates it provides customized investment solutions, suggesting it may offer managed accounts alongside its fund products, but the firm does not publicly detail the full structure of its client mandates.

How does Mulvihill's independence shape its investment process?

As a boutique unaffiliated with a bank or insurer, Mulvihill is not pressured to cross-sell proprietary products or follow a house macro view. Its independence allows it to stay focused solely on the mechanics of yield enhancement and volatility management.

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