We work exclusively with qualified private investors, family offices and institutions whose objectives align with our mandate and governance standards. Retail investors are not eligible.
Frequently Asked Questions
Clear, institutional answers to common questions from qualified investors. This overview is general by design; detailed figures and documents are shared privately with approved partners.
Access starts at USD 50,000. This helps maintain portfolio construction discipline, investor alignment and operational efficiency.
No. We avoid public performance claims and marketing promises. Performance, risk statistics and attribution are available to qualified investors under confidentiality.
We provide approved investors with private reporting and governance updates. Public performance data is not displayed; detailed metrics are delivered in the investor dashboard and documents shared securely.
We are long-term oriented. Liquidity and holding periods vary by strategy; flexibility is preserved through high-liquidity instruments while capital discipline remains paramount.
Systematic drawdown controls, position-sizing discipline, predefined stop-loss rules and continuous exposure monitoring are embedded across strategies. Excessive leverage is prohibited.
A layered approach: discretionary expertise augmented by semi-algorithmic and quantitative components for signal quality, execution discipline and risk control, complemented by selective long-term asset allocation to enhance stability.
A secure, private portal showing invested capital, monthly and cumulative results, distributions, goal progress, downloadable documents (contracts, reports) and account details. Each investor only sees their own data.
By default, investors receive their gains periodically; model settings can evolve as the platform matures, but we prioritize clarity and simplicity.
Zenvor is based in the UAE, with an international outlook. We operate under strict governance and compliance practices aligned with global AML/KYC standards and independent oversight expectations.
No. Allocation details remain private to preserve flexibility and protect our edge. High-level positioning may be discussed with approved investors.
Fee schedules are communicated directly in confidential documents and agreements shared with qualified investors.
We may reference non-financial dimensions where relevant, but our communication keeps this concise and secondary to the core mandate.
Institutional, technical when needed and always educational. We publish market insights and explain our approach without promising returns or offering public solicitation.
English is primary. Additional languages (Arabic, French) may be added with professional financial translation where appropriate.
Access is authenticated; each account is isolated at the data layer. Documents are shared via secure delivery and activity is monitored. We follow industry best practices for encryption in transit and at rest.
Submit the private access form. If there is a fit with our mandate, we will contact you to proceed with onboarding and provide secure portal credentials.
Disclaimer. The information above is general and educational. It does not constitute an offer, solicitation, or advice. Access is restricted to qualified investors and subject to confidentiality, eligibility checks and definitive documentation.