VM Alignment Fund 1

  • Viking Maccabee Alignment Fund 1 (Fund 1) is a multi-sector, multi-stage fund targeting high-confidence investment opportunities with a focus on deep tech, digital health, and fintech. We prefer U.S.-based companies with exceptional teams, strong fundamentals, clear paths to scale, and asymmetric return potential. Our investment framework is designed to generate superior risk-adjusted returns by combining early-stage exposure with disciplined follow-on allocations and high-confidence secondaries. We target a diversified portfolio of 40-55 companies, balancing moonshot opportunities with lower-risk, growth-stage investments.

  • We invest in transformative technologies with the potential to reshape industries and deliver outsized returns. Our focus is on companies with defensible market positions, differentiated technology, and exceptional teams that know how to adapt and execute. By leveraging deep diligence, advisors with sector expertise, and a highly connected network, we identify opportunities with long-term value creation and sustainable market traction.

    Beyond capital investment, we take an active role in driving our portfolio’s success – by leveraging deep diligence, sector expertise, and our highly connected network to identify opportunities with long-term value creation and sustainable market traction.

  • Fund 1 operates with a 0% management fee structure, ensuring that 100% of investor capital is deployed into high-confidence opportunities. This model minimizes investor risk while maximizing potential returns. Additionally, our extensive global network—built over years of collaboration with top-tier investors, founders, and industry leaders—allows us to source and access exclusive, high-quality deals that are typically unavailable to most funds of our size. Our disciplined investment approach, coupled with a deep understanding of sector dynamics, enables us to cut through the noise and invest with confidence.

  • To enhance capital efficiency, we reinvest the principal from early liquidity events back into the portfolio. This recycling strategy allows us to amplify returns by increasing our exposure to high-performing companies while returning gains to investors. By redeploying capital where it generates the highest impact, we ensure long-term portfolio resilience and optimized value creation.

  • We invest $250K-$500K in early-stage companies while maintaining flexibility to increase allocations for later-stage opportunities and follow-on rounds. This adaptable approach allows us to build meaningful positions in high-conviction investments and support portfolio companies as they scale.

$50M

Target Fund Size

40-55

Target Portfolio Companies

Multi-sector,
multi-stage

Focus on high-confidence deals in deep tech, digital health, and fin-tech

0% management fee