OMEGA FUND

The Omega Fund is a diversified multi-asset investment fund designed to deliver consistent income generation and long-term capital stability through active allocation across global financial markets.

Combining traditional asset classes with selective exposure to digital assets, the Fund applies a disciplined and adaptive investment approach focused on balancing growth, liquidity and risk management across varying market conditions. Through dynamic portfolio construction and broad market diversification, Omega Fund seeks to generate more stable returns while maintaining resilience in both expanding and defensive market environments.

The Fund invests across a diversified range of asset classes including foreign exchange, commodities, fixed income, equity futures, global equities and digital assets. This multi-strategy approach enables the Fund to capture opportunities across both traditional and emerging markets while reducing reliance on any single asset class or market cycle. By combining actively managed trading strategies with longer-term investment allocations, Omega Fund is positioned to benefit from short-term market dislocations, macroeconomic trends and broader global growth opportunities.

Omega Fund’s core strength lies in its diversified allocation framework, experienced investment management team and disciplined approach to risk control. The inclusion of stablecoin liquidity strategies and digital asset exposure alongside traditional institutional investment strategies enhances portfolio diversification and provides may provide additional sources of diversification and return potential. Supported by experienced teams operating across established global markets and an international network spanning 23 countries, the Fund seeks to deliver consistent performance, quarterly income generation and long-term capital preservation within a robust institutional investment structure.

INVESTMENT OBJECTIVE

Redhat Fund’s diversified investment structure is designed to balance growth, stability and adaptability, enabling the portfolio to remain responsive to evolving market conditions while maintaining a disciplined approach to risk management.

  • 2-Year Fixed Investment
  • 12% Per Annum Coupon, paid quarterly in arrears
  • Available in USD, EUR and GBP
  • Established track record of quarterly coupon payments
  • Exposure to a diversified range of underlying assets and trading strategies
  • Strategy focused on delivering more stable returns across varying market environments
  • Supported by highly experienced investment teams operating across established global markets and a network spanning 23 countries

INVESTMENT STRATEGY

Portfolio Allocation
Redhat Fund applies a diversified, multi-asset allocation framework designed to deliver resilience, liquidity and consistent performance across varying market conditions. The portfolio combines active trading strategies with disciplined risk management across a broad range of global asset classes.

20% – Commodities
Proprietary trading strategies focused on short-term opportunities across major currency pairs and global commodity markets, seeking to capitalise on volatility and macroeconomic market movements.

10% – Fixed Income
Actively managed exposure to global fixed income instruments, providing portfolio stability, income generation and interest rate sensitivity management.

10% – Equity Futures
Tactical positioning across major global equity index futures markets, enabling efficient market exposure, liquidity and short-term opportunity capture.

30% – Equities
Core allocation to global equities, combining discretionary and systematic strategies with a focus on liquidity, quality, diversification and disciplined risk control.

30% – Digital Assets
Selective exposure to digital assets, including cryptocurrencies and stablecoin liquidity strategies, designed to provide additional growth opportunities, enhance portfolio diversification and support risk-adjusted returns within the broader portfolio framework.

Portfolio Allocation
The Fund maintains a dynamic allocation comprising:
Performance Delivering Consistent 12% Per Annum Returns

14 Consecutive Quarterly Coupon Payments

IMPORTANT INVESTMENT DISCLAIMER

The information contained on this website is provided for general information purposes only and does not constitute an offer, invitation, or recommendation to invest in any financial instrument or investment opportunity.

Access to investment opportunities presented on this website is strictly limited to individuals who qualify as High Net Worth Individuals or Sophisticated Investors in accordance with applicable UK financial promotion regulations. By proceeding, you confirm that you meet the relevant criteria and understand the risks involved.

Investments presented by the Company may include non-readily realisable securities, such as private bonds, loan notes, or other forms of alternative investment. These investments are not suitable for retail investors and are not covered by the protections of the Financial Services Compensation Scheme (FSCS).

The value of investments and any income derived from them can go down as well as up and investors may not get back the amount originally invested. Past performance is not a reliable indicator of future results.

This website relates solely to securities issued by the Company. The Company does not act as an arranger, broker, or adviser in respect of securities issued by third parties.

The Company does not provide investment, legal, or tax advice. You should seek independent professional advice before making any investment decision.

All investment opportunities are subject to internal due diligence; however, the Company does not guarantee the performance or success of its investments. Any forward-looking statements are based on current expectations and assumptions and are subject to change.

By using this website, you acknowledge and accept that:

  • You are solely responsible for your investment decisions
  • You have sufficient knowledge and experience to evaluate the risks involved
  • You can bear the loss of your entire investment


We reserve the right to restrict or deny access to any user who does not meet the required investor classification criteria.

For further information regarding investor classifications, please refer to guidance issued by the Financial Conduct Authority.

If you are unsure about any aspect of this disclaimer or your eligibility to invest, you should not proceed.

Our performance is underpinned by robust governance, embedded at every level of the organisation and supported by a network of trusted professional counterparties and advisers.

Today, we operate across most major markets, including indices, commodities, foreign exchange and digital assets. As we continue to grow, our strategy is focused on expanding our presence into Europe and Asia.