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OVG Vermogensbeheer
OVG Vermogensbeheer is a asset manager based in The Hague, founded 2008; the Altss profile covers its classification, headquarters, registration, AUM band, and...
OVG Vermogensbeheer
OVG Vermogensbeer is a Dutch asset manager based in The Hague. It manages approximately $59.1 million in assets, primarily in Europe.
General information
Firm type
Generalist
Year founded
2008
AUM
Undisclosed
Location
Region
Europe
Country
Netherlands
City
The Hague
Corporate office
The Hague, Netherlands
Frequently asked questions
How does OVG Vermogensbeheer determine a client's portfolio allocation?
The firm conducts a personal interview to assess risk tolerance, then formalizes a Rendements-/Risicoprofiel. Based on that profile, it recommends a long-term asset-mix drawn from multiple investment forms. The exact asset classes and their weights are client-specific rather than drawn from a standardized model portfolio.
Does OVG operate as a single-family office or a multi-family office?
OVG Vermogensbeheer identifies itself as an independent asset manager, not a family office. It provides discretionary portfolio management to multiple private clients from its base in The Hague, without disclosing the number of families or individuals it serves.
What investment stages or sectors does OVG target?
The firm does not publicly disclose a sector or stage mandate. Its website frames the investment approach around a long-term asset-mix tailored to each client's risk profile, without naming specific industries, geographies, or investment stages.
Who leads investment decisions at OVG Vermogensbeheer?
OVG's public-facing materials do not name any principals, portfolio managers, or members of an investment committee. The firm has no LinkedIn page and its website contains no team section, leaving the decision-making structure undisclosed.
Does OVG commit to funds alongside external managers or only build direct portfolios?
Available information does not specify whether OVG invests directly in securities, commits to external funds, or uses a combination. The firm describes its output as a mix of investment forms, but the underlying instruments are not detailed.
Profile maintained by Altss using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.
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