BTC/USD

76859.00

ETH/USD

2469.50

KCAP/USD

40.47

PHILOSOPHY

Korzhyk Capital is built on the principles of long-term cooperation, responsible capital management, and alignment of interests between the Fund Manager and investors.

We do not view an investment fund as a tool for maximizing returns at any cost, but as a capital management system in which performance must always be assessed together with the level of risk taken. For this reason, risk control is one of the key elements of our investment philosophy.

A significant portion of Korzhyk Capital’s capital belongs to the Fund Manager. As a result, the Manager’s own capital is invested under the same strategy and exposed to the same market risks as the capital of other investors. This creates a natural alignment of interests between the Fund Manager and the Fund’s investors.

We believe that an investment strategy should not remain unchanged simply for the sake of preserving its original concept. Financial markets evolve, and the Korzhyk Capital strategy is therefore continuously refined as experience is accumulated, new data becomes available, and market conditions change. At the same time, any changes must have a clear economic rationale and remain consistent with the overall risk management framework.

We aim to maintain transparent and clear relationships with our investors. Information about the value of an investment unit and the Fund’s key performance results is regularly published on the Korzhyk Capital website.

Cryptocurrencies and digital financial infrastructure make it possible to create more flexible international investment solutions. Korzhyk Capital seeks to use these opportunities while complying with applicable legal, regulatory, AML/KYC, and sanctions requirements.

Our long-term objective is to develop Korzhyk Capital into a sustainable investment system capable of operating under different market conditions and maintaining investor trust over many years.