MARV is at the crossroads of information flow between most market participants. MARV employs industry standard tools for valuation and scenario analysis, using assumptions that are derived from its market knowledge and recent realized trades. It is an active participant in liquidations and auctions for its customers. The team at MARV also obtains market color through its relationships with customers as well as other dealers. MARV combines this market knowledge with its deep understanding of the product to provide valuation for structured credit products.
Since inception, MARV has provided portfolio valuations for more than 25 institutional customers across the CLO, CSO, RMBS, and CMBS sectors. Customers include large traditional asset managers, large hedge funds, REITs, and Banks.