Access institutional-grade investment strategies previously available only to family offices and hedge funds. Fully audited track records, transparent fee structures and strict risk controls.
Every fund in our programme is independently verified and operates within strict risk parameters.
3-year performance history independently audited. Full month-by-month P&L available before commitment.
Your capital is held in your own segregated account at a regulated broker. We never hold client funds directly.
Detailed monthly statements with trade-by-trade breakdown, performance attribution and risk metrics.
Hard drawdown limits enforced programmatically. Positions automatically closed if maximum loss threshold is reached.
Performance fee on profits only (High Water Mark). No management fee on underperforming periods.
Monthly redemption windows with 15-day notice. No lock-up periods beyond the first calendar month.
We discuss your investment objectives, risk tolerance, time horizon and minimum investment capacity.
Choose from Conservative (8-12% target), Balanced (15-20% target) or Growth (25%+ target) strategies.
Open a segregated trading account at our partner broker. Funds under your control at all times.
Access your live performance dashboard. Monthly statements delivered. Withdraw on your schedule.
No desire to actively trade but want exposure to FX market returns. Fully hands-off with monthly reporting.
High-net-worth investors diversifying into alternative assets beyond traditional equities and fixed income.
Companies with idle FX balances seeking returns above money market rates with defined risk parameters.
Everything you need to know before getting started.
Speak to our team and get started today. No commitment required.
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