Hedge fund profile
The Tudor Bvi Global Portfolio L.P.
The Tudor Bvi Global Portfolio L.P. is reported as a hedge fund in Form ADV private-fund disclosures. The adviser is Tudor Investment Corporation, based in Stamford, Connecticut, United States.
$50.2Bgross assets
$10.0Mminimum
257owners
3(c)(7)exemption
Disclosure fields
Fund facts
SEC private fund ID805-2769149727
Reference ID11594
JurisdictionCayman Islands
Fund of fundsNo
Master fundYes
Feeder fundNo
Non-US ownership43%
Assets valued98%
Annual auditYes
GAAPYes
Source periodMarch 2026
Date submitted03/30/2026 03:10:45 PM
Adviser
TypeRegistered investment adviser
SEC number801-73474
CRD159792
Regulatory AUM$106.8B
Compliance signals
Exempt from registration Sales limitation not marked Prime brokers reported Custodians reported
Service providers
Reported counterparties
General partners
Tudor Bvi Gp Ltd.
Auditors
ERNST & YOUNG LLP
Prime brokers
J.P. MORGAN SECURITIES LLCUBS AGBNP PARIBAS SA PARISJ.P. MORGAN SECURITIES PLCCITIGROUP GLOBAL MARKETS INC.BARCLAYS BANK PLC
Custodians
BOFA SECURITIES, INC.JPMORGAN CHASE BANK, N.A.THE BANK OF NEW YORK MELLONCITIBANK N.A.GOLDMAN SACHS & CO. LLCJ.P. MORGAN SECURITIES LLC
Administrators
CITCO (CANADA) INC.CITCO FUND SERVICES (USA) INC.CITCO FUND SERVICES (CURACAO) B.V.
Same adviser