Investment approach

Although we rely on technologies, we continue to critically think about the risks. We understand that to bet everything on one card is risky. We trust algorithms with trading at foreign exchange market, where we look only for fast trades with great discount, but we can not forgot other traditional investment opportunities. We call this ETF and stocks indexes trading, where we take into account mainly recent market behaviour and macroeconomic data, individually assessed by our analytics.

Fund methodology

It is clear, that no universally functional model for predictions of financial assets exists. The only sustainable approach is the selection of the appropriate economic metrics, sound statistic measures and subsequently calculations probabilities of profit and losses with the aid of computing technology (i.e. algorithms). Our team consists of experts from each of these fields, because professional experience has proven many times, that only such approach leads to responsible fund management.

Our services

Although it might not be clear at first glance, collective asset management by our fond is not intended to public. We offer specific investment services and thus we offer our services only to investors, whose investment size is related and proportional to their finances, investment goals and professional experience within investing. Therefore, on top of adhering to legislation, we also believe in business codes and do not accept investments based only on the size of the investment.

Capital requirements

Our fund is for qualified investors only according to Act 240/2013 Coll. about investment companies and funds. If an investor shows interest in putting capital into collective asset management of the fund, and provides all information necessary for authentication of suitability, then the next requirement is investment of at least 125 000 Euro or more. In exceptional circumstances, if the fund administrator finds a certain degree of client professionalism, the fund might accept amount smaller than the limit listed above.

The company Momentum assets a.s. is concerned with collective asset management for qualified investors only (of section §272) and in full compliance with Act 240/2013 Coll. about investment companies and funds (“ZISIF“).

Information available on this website should not be regarded as an offer for buying, selling or otherwise dispose of investment instruments. It does not serve as a public offering of investment securities or any other investment products. Alternative investment fund Momentum assets I. of Momentum assets a.s. is registered in Czech National Bank (CNB) according the section 15 of Act 240/2013 Coll. the list of entities performing asset management comparable to full capital management. The company is not subject of supervision of CNB. Given the nature of investment instruments, every investment bears risks. The bigger the expected profit, the bigger the risk of losses. Past yeilds cannot be taken as guarantee for future return and we the fund does not guarantee return of the initial investing amount.

The company, its founders, shareholders, board members, directors and employees do not assume any liability for loss or damage caused by the use of any information contained on this website. The content of this website is subject to change without prior notice.

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