






Alternative Investment Fund
Adaptibility
Through rigorous analysis of economic data, technical trends, fundamental factors, and on-chain insights, we proactively reposition assets to align with market cycles and macroeconomic events.
Security
We uphold the highest security standards and are duly registered and regulated by European authorities. As we diversify our fund into specific technological markets such as cryptocurrency, we prioritize robust security solutions and safety measures to safeguard your assets.
Alternative
A calculated multi-asset strategy that spans public equity, cryptocurrency, commodities, music royalties, precious metals, forex and more… We aim to integrate the strengths of tradition with high performance emerging markets.
Dedicated Experts, Driven by Your Success
Our core team consists of experienced analysts, specialists and compliance experts. For each asset class we invest in, we have a dedicated analyst who monitors the markets on a daily basis. This is coordinated by an investment committee that is responsible for making crucial decisions regarding portfolio management. Your funds are our top priority.

Our vision is to become the best performing dynamic multi-asset fund in the European Union, enabling investors to invest in innovative, high-risk markets, with the ability to switch to traditional assets when economic conditions allow.
Why Choose Us?
We represent the next evolution for your investment portfolio. Our team possesses the expertise and insight necessary to deliver active, high-end portfolio management, aiming to outperform traditional markets while incorporating robust risk management practices. We care for your capital as our own and believe in true alignment with our investors.
Therefore 15% of each team member’s annual performance fee is reinvested into the fund, demonstrating our commitment to the strategy and shared success.

Having doubts or questions?
We can provide you with answers to your questions and will gladly provide more insights in our regulated fund.
Together, we will pave the way for your future success.
MarketVision serves as your trusted partner in active portfolio management. We offer a tax-efficient approach to diversified strategic investing, employing a proactive and hands-on method to risk management. Our team continuously monitors market conditions, adjusting allocations, managing hedges, and implementing short positions when necessary to safeguard the portfolio during periods of decline.
Highly Motivated Team and Innovative Strategies
Our analysts, possessing years of expertise in both traditional finance and digital assets, meticulously structure the portfolio through comprehensive fundamental, on-chain, and technical analyses. This approach ensures an optimal risk-return ratio.


