Board Director & Founder:
Prestige Capital Management / Prestige Fund Management / Prestige Asset Distribution / Prestige International Marketing Services and various Prestige Funds

Board Advisor: Prestige Asset Management

Associated with Prestige since 2007

Craig is a Director and Founder of Prestige Capital Management Limited, Prestige Fund Management Limited, Prestige Asset Distribution Limited and Prestige International Marketing Services Limited and is a Board Director of various international Prestige Funds. He is also a Director of Nucleus Holdings Limited and is a co-founder and non-executive director of OpenFunds Investment Services AG.

Formerly Managing Director and co-founder of Platinum Capital Management Limited (an international asset management group). Formerly Head of Portfolio Management and Asset Allocation at Titan Capital Management Limited (an international asset management group). Prior experience as a Proprietary Trader at Gaiacorp Trading Limited (an international asset management group), Proprietary Trader at London Currency Exchange Limited (a private client / proprietary trading house) and an internship at Bank of America (London). He has also previously provided retained consultancy services to a large London-based international family office, a large London-based international stock broker, a London-based pension consulting group and a London-based international real estate investment group.

He has nearly 25 years of experience in financial services as a professional investment manager, trader and investor of alternative investments, hedge funds, capital markets and real estate and has written several articles for various financial publications journals including the AIMA Journal. He has served as a Board Director on over 20 international Funds. Mr Reeves graduated with a BA (Hons) in Business Administration from Huddersfield University and a Higher National Diploma in Business and Finance from University of Greenwich (London). He also attended the New York Institute of Finance (NYIF) where he studied various financial markets and derivative trading courses and is also a member of the Chartered Institute for Securities and Investment (CISI).

Approved in Malta by the Malta Financial Services Authority (MFSA), approved in Switzerland by the Swiss Financial Market Supervisory Authority (FINMA), approved in Luxembourg by the Commission de Surveillance du Secteur Financier (CSSF), a certified individual for UK Financial Conduct Authority (FCA) purposes and registered with the Cayman Islands Monetary Authority (CIMA).

Company Secretary / Board Advisor

Associated with Prestige since 2007

Graham serves as the Company Secretary of Prestige Asset Management, Privilege Holdings Limited, Privilege Asset Finance Limited and Privilege Project Finance Limited as well as various subsidiaries and special purpose vehicles and is also a Prestige Board Advisor. He acts as internal legal counsel for Prestige Funds. He is a qualified lawyer, conversant in all areas of law, but with particular emphasis on hedge funds and alternative investments. He has over 25 years of experience in the alternative investments business, including international experience as a practicing attorney in the Cayman Islands, where he advised on banking, insurance, trusts and mutual funds.

From 1989 he was based in the UK as a lawyer and manager for Gaiacorp, the currency hedge fund, and subsequently from 1994 as Managing Director of its London subsidiary, Titan Capital Management, where he played a key role in developing the firm’s global business, including creating and managing global investment management, fund administration and independent financial advisor networks. He then helped to coordinate its sale in 2002. He has worked extensively as a consultant in the City of London, including with Mottram Partners and Millers Associates, and is currently director of the hedge fund consultancy, Hawksmoor Partners.

He is a practicing consultant solicitor with Charterhouse Law and has an MA in Law from Cambridge University.

Board Advisor: Compliance Officer and Money Laundering Reporting Officer

Prestige Asset Management Limited

Associated with Prestige since 2010

Christopher is the Compliance Officer and money laundering reporting officer of Prestige Asset Management.

He has over 20 years’ compliance experience gained mainly at Lazard Brothers London assisting the Group Compliance Director. More recently he has been a consultant providing compliance services, including monitoring, to small regulated firms of asset managers, venture capitalists and corporate financiers. He specialises in money laundering awareness training and regularly provides training to small regulated firms.

He is a qualified Chartered Certified Accountant (FCCA) who changed career in 1993 to specialise in Compliance.

Approved in the UK by the Financial Conduct Authority (FCA)to perform a Senior Management Function.

Board Advisor: International Marketing
Prestige Asset Management / Prestige Asset Distribution

Associated with Prestige since 2015

Stuart is an experienced marketing and communications professional with over 20 years of experience in the financial services industry. He has spent over 10 years as a journalist and editor, covering wealth management, cross-border fund management and investment banking. More recently he has worked in communications and digital marketing roles within the investment banking, fintech and forex trading sectors.

He has written books on trading and offshore funds and continues to advise clients in the asset management, financial data and commodities trading industries.

Board Advisor: International Business Development
Prestige Asset Management / Prestige Asset Distribution

Associated with Prestige since 2009

Nicholas serves as a Board Advisor to Prestige and has over 30 years of capital markets experience focusing on foreign exchange, fixed income and hedge funds.

Previously a Director of Currency Trading at Seymour Pierce Limited (a London-based FCA-regulated currency fund manager and corporate finance house). Previously Head of European Prime Brokerage, Global Markets at Royal Bank of Scotland Group based in London. Previously Head of Business Development and Proprietary FX Trading at Bache Financial Limited (a London-based FCA-regulated Brokerage Firm). Previously Head of Institutional Sales UK and Europe at Australia and New Zealand Bank (ANZ) based in London. Previously Associate Director and Head of FX Sales London/Singapore/Hong Kong at Dresdner Kleinwort Benson Limited based in London. Previously Director and Head of FX at Geldermann Limited (a London-based FCA-regulated Brokerage Firm). Previously Associate Director and Head of FX at Banque Indo Suez (an international investment bank).

A certified individual for UK Financial Conduct Authority (FCA) purposes.