Registered owner:

This website is owned and maintained by RIVA Asset Management SARL, a fund having its registered office address at 16, Avenue Pasteur, (2310) Luxembourg


+35 2088 0121


The information contained herein is provided to you at your request for informational purposes only and is not to, and may not, be relied on in any manner as legal, tax or investment advice. This presentation of RIVA ABSOLUTE RETURN FUND (the “Fund” -) is being provided to certain selected qualified investors in one-on-one presentations and does not constitute an offer to sell or a solicitation of an offer to purchase an interest in the Fund. Any such offer or solicitation shall be made only pursuant to the Confidential Private Placement Memorandum and subscription materials for the Fund (the “Definitive Documents”). The Definitive Documents describe risks related to an investment in the Fund (including loss of the entire investment) and qualify in its entirety the information set forth herein. The Definitive Documents, including the risk factors and potential conflicts of interest described therein, should be read carefully, and prospective investors should make their own investigation and evaluation of all information herein and therein, prior to investment. The information contained herein should be treated in a confidential manner and may not be reproduced, redistributed or otherwise used in whole or in part for any other purpose. Each person accepting this presentation thereby agrees to return it promptly upon request. Certain economic and market information contained herein has been obtained from published sources prepared by other parties. While such sources are believed to be reliable, none of the Fund, the Fund’s manager, the Fund’s investment adviser or their respective affiliates assumes any responsibility for such information or for updating any information herein. The past performance information of the management team contained herein is not necessarily indicative of future results, and there can be no assurance that the Fund will achieve comparable results or that the Fund will be able to implement its investment strategy or achieve its investment objective.