Professional crypto fund

Digital asset investing
without unnecessary risk.

We build diversified crypto portfolios, applying algorithmic strategies and fundamental analysis to support long-term capital growth.

Experience
5 Years
In asset management
5Y
Trust
340+
Clients trust us with their capital
Risk Control
3 layers
Diversification, rebalancing and protective scenarios
Get a proposal Strategies
IKS Capital IKS Capital IKS Capital IKS Capital IKS Capital IKS Capital IKS Capital IKS Capital
Important

What should you know before entrusting capital to management?

01 / Strategy
We handle management, analysis and risk control
You do not need to navigate the crypto market on your own. We define objectives, select a strategy and support the portfolio at every stage.
02 / Diversification
Capital is not tied to a single asset
The portfolio is allocated across several areas. If one instrument declines, others help smooth volatility and keep the strategy within its target range.
03 / Control
You understand what is happening with your money
We document results in reports, show returns, fees and cash movements. Your manager stays in touch, while the app provides quick access to the portfolio.
Benefits

Why investors choose IKS Capital

Legal security
We are an international group of companies with the relevant licenses. We work under an asset management agreement.
Proven performance
Five years of continuous operations with verified results and a public transaction history.
Strict
risk management
Multi-level stop-loss rules and automatic rebalancing.
Full transparency
Detailed reports, a personal manager and a mobile app. You can see all trades, fees and portfolio cash movements in real time.
Personal manager
A dedicated manager for the entire cooperation period. Any question is answered within an hour.
Security

Security is our priority

Every aspect of custody and capital management is protected at multiple levels

01 / Protection
Non-custodial storage
Your funds are not kept on a single platform. Wallet-level allocation helps minimize systemic risk.
02 / Access
Two-factor access
All transactions are confirmed by several authorization layers. No fund movement is possible without your knowledge.
03 / Liquidity
Access at any time
There are no lock-up periods. You can withdraw funds during designated windows without early-exit penalties.
04 / Reporting
Complete control
A monthly report on portfolio status, all operations and performance in a convenient format, always at hand.
05 / Risk
Risk management
Automatic stop-losses and position hedging. When the market declines, the system protects capital before losses become significant.
Process

How to start investing?

A few simple steps help us understand your goals and select a strategy tailored to you

01
Request
We schedule a consultation
02
Consultation
We discuss your goals and objectives
03
Strategy selection
Based on your goals
04
Funds transfer
Fast and secure
05
Management
Professional and consistent
06
Reporting
Detailed and transparent
Strategies

Two products for different goals

Choose a strategy for your objectives. Both products are managed by a professional team with full transparency.

Long-term management
Investment portfolio
For long-term management of a diversified digital asset portfolio with minimal investor involvement.
Minimum investment
from $10,000
Investment horizon
12 months
Portfolio diversification
Fundamental analysis of digital assets
Regular rebalancing
Use of hedging instruments
Use of staking mechanisms
Use of liquidity pools
Active strategy
Trading
For active position management with continuous risk control and withdrawals during the periods set out in the applicable terms.
Minimum investment
from $10,000
Investment horizon
12 months
Comprehensive market analysis
Diversification of investment decisions
Use of stop-loss and take-profit orders
Continuous monitoring of open positions
Strategy adaptation to changing market conditions
Regular withdrawals
Comparison

Advantages of digital assets

A country-neutral comparison of common investment options and IKS Capital's managed digital asset approach

Investing involves high risk. Returns are not guaranteed, and past performance does not determine future results.
ParameterEuro depositsEuropean securitiesIKS Capital
Average annual return2.25%ECB deposit facility rate, unchanged on 23 Jul 202610.9% / 3.47%STOXX Europe 600 YTD to 30 Jun / euro area 10Y spot yield, 11 Jun 2026Strategy-specificDepends on the selected strategy, market conditions, and investment horizon
Real growthAfter euro area annual inflation of 2.8%, Eurostat, Jun 2026Below inflationECB policy rate remains below euro area inflationAbove inflation / ≈0.7%Equities: YTD result; bonds: estimate based on the 10Y spot yieldBased on actual resultsCalculated after inflation and fees, taking the investment horizon into account
Growth potentialRate-limitedUpside is capped by ECB and bank deposit ratesMarket betaUpside and drawdowns follow European marketsActive upsideNot capped by deposit rates or bond coupons
Early withdrawalWhat happens when you withdraw earlyBank termsEarly withdrawal conditions depend on the bankMarket priceExit value depends on current market levelQuarterly windowManaged exit process with transparent reporting
Currency exposureHow the portfolio is exposed to currency movesLimitedDepends on deposit currencyPartialDepends on currency, country and sector mixUSD-linkedPortfolio accounting in USD equivalent
Global accessibilityAbility to access capital internationallyBank-dependentDepends on the bank and jurisdictionBroker-dependentBroker and custody restrictions may applyDigital accessDesigned for remote portfolio access
Dependence on local ratesHighCash yields move with central-bank policyHighRate changes affect stock valuations and bond pricesLowWe operate across global digital asset markets
Entry thresholdLowUsually accessible with a small amountLow to mediumDepends on broker, product and marketFrom 10,000 USDTAsset management
RiskLowDeposit insurance may apply by jurisdictionMedium / highMarket risk, not insuredRisk-controlledStop-losses, rebalancing and team oversight
Sources: European Central Bank, Eurostat, STOXX. Real return estimates use the Fisher equation and are shown for comparison only.
Mobile app
Coming soon

IKS Capital mobile app

Manage investments, track performance and monitor your portfolio in real time.

Portfolio and performance overview
Balance, P&L and trade history update instantly
Buy and sell products
Product operations inside the app
Easy deposits and withdrawals
Deposit and withdraw in a few taps
Transaction history
All actions and transactions in one log
Analytics and reports
Returns by period and detailed breakdowns
24/7 support
Your manager stays in touch
IKS Capital App
Consultation

Learn more about working with us

Submit a request and we will contact you within an hour. No pressure and no unnecessary questions: we will discuss your goals and provide feedback.

Consultation with no obligation
We discuss your goals
We select a suitable strategy
We answer any questions