This fund is structured to prioritize capital preservation while targeting asymmetric upside during the 2026–2030 Bitcoin market cycle. All positions are actively managed with defined risk parameters and transparent reporting for each LP.
NAV Per LP — $5,000 Investment
Capital Deployed
$0
Current NAV
$5,000
Net Return
+0%
+$0
Share of LP Pool (70%)
—%
Capital Raised
$0
of $100,000 goal
0 / 20 investors
0% funded
Return Scenarios — $5,000 Investment
Case
Gross
LP Gets (70%)
Multiple
BASE
6x
$21,000
4.2x
TARGET
7x
$24,500
4.9x
BULL
8x
$28,000
5.6x
Fund Structure
Investment Amount
$5,000 per LP
Term
4 Years
GP / LP Split
30% / 70%
Target Investors
20 Partners
Fund Timeline
Fundraising
Feb – Sep 2026
Buy Assets
Oct – Dec 2026
Investment Period
2027 – 2029
Take Profits
2030
Projected IRR — 4-Year Horizon
Case
Multiple
LP Gets
Est. IRR
BASE
6x
$21,000
~57% p.a.
TARGET
7x
$24,500
~63% p.a.
BULL
8x
$28,000
~68% p.a.
IRR calculated as annualized return over 4-year term. Past performance not indicative of future results.