Sophisticated investment pools designed for institutional and qualified investors seeking superior risk-adjusted returns.
Choose from our carefully structured investment pools, each designed to meet specific risk profiles and return objectives.
Fixed income securities, government bonds, and stable dividend-paying equities.
Diversified portfolio combining growth equities, REITs, and alternative investments.
Alternative investments, private equity, hedge strategies, and emerging markets.
Our next investment pool launches Q2 2025, offering institutional investors access to our flagship multi-strategy approach.
Sep 1 , 2025 - Subscription period opens Aug 15th
$50 initial
6 months
Target CAGR
28%
5-year projection
Max Drawdown
<12%
Risk management
Sharpe Ratio
1.85
Risk-adjusted returns
Beta vs S&P
0.72
Market correlation
Comprehensive performance metrics demonstrating our commitment to delivering superior risk-adjusted returns.
Overall Fund Returns
34.2%
Trailing 12 months
Sharpe Ratio
2.14
Risk-adjusted performance
5-Year CAGR
24.7%
Compound annual growth
Alpha Generation
11.8%
Excess return vs benchmark
Advanced ICT And Liquidity Based strategies To protect And Grow capital
Seasoned professionals with Years of institutional investment experience
Comprehensive monthly reports with detailed performance attribution