Prime Liquidity Fund

A managed account strategy across global liquid markets, built on disciplined processes, aligned interests, and capital preservation.

Our Philosophy

AU Capital’s investment philosophy is founded upon creating consistent high returns, while minimising downside volatility, and preserving capital.

This is achieved through the execution of comprehensive trading solutions designed to optimise intraday performance across liquid asset classes such as equities, cryptocurrencies, and predominantly foreign exchange markets.

Our managed accounts utilise several strategies developed and refined over a decade, to take advantage of all market conditions regardless of any social, economical, or political state.

In short, whether the market moves up, down, or sideways, we are positioned to take advantage.

The Prime Liquidity Fund

The Prime Liquidity Fund (PLF) is AU Capital’s flagship managed account strategy.

We trade across global liquid markets, predominantly major currencies, with selective exposure to precious metals (gold and silver) and the leading digital assets (Bitcoin and Ethereum) to return a net gain of 36-72% per annum for our clients.

Our managed account structure allows for full control, transparency, and investor access to funds at all times.
In fact, we do not have access to your account, only your permission to trade the funds through our licensed and regulated partner brokers. Investors have the freedom to withdraw part or all of their funds at anytime with no redemption penalties or notice period.

We never risk 100% of your capital.

An overriding capital stop loss is in place to limit the overall risk on client accounts. As a result your account will never drop below 30% of the initial capital.

Investment Calculator

Modelled on a net average of 3.5% per month after the 40% performance fee. Adjust the inputs to see how a Prime Liquidity Fund investment could grow over time.

Investment Amount
Time Horizon
5 years 60 months
1y2y3y4y5y6y7y8y9y10y
Monthly Return
% per month
Net monthly average, after the 40% performance fee
Strategy
All monthly profits reinvested. Maximum long-term growth.
Monthly Withdrawal
50% withdrawn 50% reinvested
10%30%50%70%90%
Projection
£787,809
Total value after 5 years
Account Balance
£787,809
Held in fund
Income Taken
£0
Withdrawn over period
Total Return
+688%
vs. starting capital
Avg Monthly Gain
£11,463
Across the period
Illustrative - Not a Guarantee Projections use the monthly return entered above and are illustrative only. All figures shown are net of the 40% performance fee. Past performance is not indicative of future results. All trading carries risk of capital loss. This tool is for illustration only and does not constitute financial advice or an offer to invest.

Key Facts

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