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CoreView Capital

coreviewasset.com

VCMatch tracks CoreView Capital as an investor focused on AI/ML, Semiconductors, and Hardware companies and United States, Global, and China markets. Upload your deck to compare your startup against the full private matching profile.

Check Size

Not specified

Stages

Not specified

Focus Areas

AI/ML, Semiconductors, Hardware

Geography

United States, Global, and China

Investment Thesis

Coreview’s investment philosophy is macro-driven and defensive: capital growth is possible in any market so long as risk is managed. The firm emphasizes strong risk management, technical analysis, and actively managed, income-generating strategies rather than seeking spectacular returns. It explicitly prioritizes “capital preservation and protection,” positioning for dislocations driven by changing market structure (e.g., 0DTE options, levered ETFs) and macro/geopolitical stress.

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Investment Focus

Who should take a closer look

CoreView Capital is most relevant for founders raising venture-backed rounds in AI/ML, Semiconductors, Hardware, and Data Infrastructure, especially across United States, Global, and China.

Focus statement

Coreview focuses on a long/short, macro-oriented approach that combines top-down macro and geopolitical views with technical analysis and option-based income generation. The firm has launched a protection-first vehicle ("Coreview Strategic Macro Protection Fund") to "protect hard-earned capital" while selectively profiting from dislocations.

Value Add

  • Protection-first fund launch: explicitly building a new vehicle where the "Protection theme be its very thesis" (Coreview is positioning a dedicated Protection fund).
  • Macro + technical fusion: investment decisions are "governed by strong technical analysis" while views are shaped by macroeconomic and geopolitical trends.
  • Active income via options: explicit focus on generating "passive income" from the options market and using option strategies as a core return/risk tool.
  • Long/short flexibility: "We are a long/short fund that will be long, short, and/or both when opportunities present themselves."
  • Strict, explicit risk controls: procedural discipline to define maximum loss per trade ("we will know to the penny the maximum amount we are willing to lose before exiting the position").
  • Founder pedigree in fixed income and trading: Jeremy Schwartz's ~20 years on fixed income trading floors and corporate/investment banking informs both risk and execution capabilities.

Stage And Sector Fit