Our fund focuses on quantitative trading. We are committed to maximizing returns for our investors while maintaining a prudent approach to risk management. This guide will walk you through the process of investing in our fund, highlighting the key steps, requirements, and important details about how we operate.
Step 1: Apply to Invest
The first step is to express your interest by contacting us through the Apply to Invest form on the website. Please provide some basic information about yourself, such as your investment experience and objectives. This initial information helps us to determine if our fund is a suitable fit for your investment profile.
Step 2: Onboard via Interactive Brokers
If we assess your profile as a good fit for our fund and we are accepting investments, we will send you an invitation and a direct link to our fund on the Interactive Brokers Hedge Fund Marketplace.
The Interactive Brokers platform provides a secure and streamlined environment for completing the necessary documentation, including KYC (Know Your Customer) and AML (Anti-Money Laundering) compliance.
Once the documentation is complete, you can securely transfer your investment funds through Interactive Brokers.
Key Investment Terms Summary:
Investment Platform: Interactive Brokers Hedge Fund Marketplace
Performance Fees: 25% of net profits
Management Fees: None
Performance Reporting: Quarterly
Liquidity Window: January (deposits and withdrawals)
Contact Us:
If you have any questions or would like to learn more about investing with Inverteum Limited, please contact us at contact@inverteum.com.
Disclaimer:
This website is for informational purposes only and does not constitute an offer to sell or a solicitation of an offer to buy any securities. Any such offer or solicitation will be made only by means of a confidential private placement memorandum and related subscription documents. Investing in our fund involves significant risks, and investors may lose some or all of their investment. Prospective investors should carefully consider the risks and uncertainties described in the fund’s offering documents before making an investment decision.