BLΛCKPEΛRL Hedge Fund Professional Wealth Management
BLΛCKPEΛRL is a premier hedge fund headquartered in Monte Carlo, Monaco, specializing in SpotFX market trading. Led by Managing Director Aleksander Marjanovic, the fund offers exceptional profits for high-net-worth and institutional clients through strategic trading and a unique profit-sharing model. With a global presence and a focus on risk management excellence, BLΛCKPEΛRL stands at the forefront of modern trading and wealth management.
Investment Strategy For Elite Profits
Our investment strategy is built on precision, discipline, and strategic risk management. By focusing on currency markets, we deliver substantial returns, driven by our proprietary algorithms and sophisticated market insights. • Profit Sharing Structure Investor Retains: 70% of profits BLΛCKPEΛRL Retains: 30% of profits No other fees or commissions. We profit only when you profit. • Risk Management We limit risk exposure to no more than 5% of investment capital on any single position, ensuring the protection of client funds against significant market downturns.
VanRow & BLΛCKPEΛRL’S Elite Partnership
VanRow International is thrilled to announce a strategic partnership with BLΛCKPEΛRL, a cutting-edge hedge fund known for its innovative trading strategies and access to major global markets. This alliance not only enhances VanRow’s commitment to offering premier investment solutions but also opens the door for clients seeking to capitalize on BLΛCKPEΛRL’s unique market expertise.
Through this partnership, VanRow is now facilitating access to BLΛCKPEΛRL’s fund for discerning clients who are interested in sophisticated, high-performance trading strategies. Leveraging advanced algorithms and market insights, BLΛCKPEΛRL has developed a robust track record across volatile and stable market conditions, yielding impressive returns on both short- and long-term investments.
• Performance Metrics
BLΛCKPEΛRL's performance stands out among the industry's top-tier hedge funds. Our success is driven by our ability to manage volatility, seizing opportunities in highly volatile environments and executing profitable trades in asymmetric conditions.
• Current Assets Under Management (AUM)
$500 million AUM
2023 Annual Revenue: $1 billion+
• Historical Performance
(26 months)
Minimal Monthly ROI: +200%
Average Monthly ROI: +500%
August 2024 ROI: +850%
Trusted by Leading Global Elite Individuals that are Mr Marjanovic’s high profile clients.
• Wealth Management Philosophy At BLΛCKPEΛRL, we believe in the fundamental principle that wealth creation is the cornerstone of future security. Our mission is to assist our clients in achieving their financial goals by delivering consistent and sustainable growth while preserving capital. We constantly push beyond industry standards, refining our strategies to remain at the forefront of global wealth management. • Bespoke Risk Management Tailored strategies based on each client's specific risk tolerance and financial objectives. We have a High-Net-Worth Client Focus, A selective yet sophisticated investor base ensuring focused attention and top of the line personalized service.