
Harnessing the Liquidity Pool of Our Institutional Providers
Strategic Growth with
Risk-Adjusted Returns
At Aether Capital, our investment strategy centers around capital preservation, risk-adjusted returns, and diversification. By investing in a carefully curated range of alternative assets across various sectors, we aim to protect against volatility while seeking out high-yield opportunities.
How We Select
Our Funds
Our selection process is rigorous and highly focused on identifying funds that exhibit a strong performance history, a clear strategic advantage, and alignment with our investment goals. We target fund managers with demonstrated expertise, operational excellence, and a commitment to transparency and integrity.
Each fund is carefully vetted to ensure it meets our high standards for performance, risk management, and ethical operations. This thorough approach enables us to build a diversified portfolio that offers the greatest potential for success.
Fund Structure
and Compliance
The Aether Capital 506(b) Fund of Funds operates under Regulation D, Rule 506(b), which allows us to raise capital from both accredited and non-accredited investors. This structure provides us with the flexibility to offer our diversified investment opportunities to a broader range of individuals and institutions, while still adhering to regulatory guidelines.
We are committed to transparency, accountability, and responsible stewardship of investor capital, ensuring that both accredited and non-accredited investors benefit from clear, regular updates and detailed reporting on the fund's performance.