From sophisticated PAMM and MAM structures to Luxembourg-domiciled investment funds and accessible copy trading — we deploy capital with precision, discipline and full transparency.
Each structure is designed for a specific investor profile — from ultra-high-net-worth institutional mandates to accessible copy trading solutions from $1,000.
Multi-Account Manager structures allow a single portfolio manager to control multiple client accounts simultaneously. Trades are allocated in real time, proportionally to each account's equity. Ideal for family offices, wealth managers and institutional clients requiring bespoke mandate management.
Percentage Allocation Management Modules distribute profits, losses and fees proportionally to each investor's share of the total managed pool. Full transparency through a dedicated investor portal with real-time exposure, P&L and trade history. No management intervention in individual account operations.
Domiciled in Luxembourg under CSSF supervision, our fund structures operate as Alternative Investment Funds (AIF) under the AIFMD framework. Available as SICAV or FCP structures with an appointed AIFM, regulated depositary and independent auditor. Ideal for institutional capital, family offices and qualified investors requiring a fully regulated EU vehicle.
Professional-grade strategy replication for investors below the $1 million threshold. Copy the exact positions of our quantitative and discretionary traders in real time, with full control over position sizing, risk limits and drawdown thresholds. Start from $1,000 with no lock-up period and no performance fee on losing months.
All performance figures are net of all fees, audited annually by an independent Big Four firm and verified by the custodian bank. Past performance does not guarantee future results.
A rigorous institutional process applied equally to a $1,000 copy trade and a $50M fund allocation.
We begin with a thorough understanding of your investment objectives, time horizon, liquidity needs, tax situation and risk tolerance. Every mandate is bespoke.
Capital is deployed across our quantitative, discretionary and systematic strategies based on the agreed mandate parameters. Allocation is reviewed quarterly.
Positions are monitored 24 hours a day, 5 days a week. Pre-defined drawdown limits, volatility caps and correlation limits are enforced algorithmically.
Monthly investor reports, real-time portal access, quarterly investor calls and annual audited accounts. You always know exactly what is happening with your capital.
Our structures are available to investors across multiple categories, each subject to the regulatory requirements of their jurisdiction.
Speak with a senior investment adviser. No obligation. Complete confidentiality. Response within 24 hours.
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