Wealth Markets is AP Markets’ pooled investment program: AP Markets Ltd. gathers participants’ capital to access opportunities in hedge funds and liquidity providers — institutions that require institutional KYB processes and minimums beyond the reach of most individual investors.
AP Markets clears KYB with each institution, structures programs by risk profile, and each participant joins in proportion to their contribution — like a PAMM, but for investing. You choose the program; the institutional relationship is already in place.
Sign up, complete KYC and the eligibility questionnaire.
Four risk profiles: start where you feel comfortable.
AP Markets Ltd. gathers contributions and clears KYB with hedge funds and liquidity providers.
Your stake is recorded at NAV and your result is proportional to your contribution.
Transparent NAV, periodic reports and redemptions on scheduled dates.
NAV (Net Asset Value) = value per program unit. Grows with profits, drops with losses. Transparent, calculated by an independent administrator.
Profits are reinvested into NAV (compounding). No separate "rewards" balance.
High-Water Mark: the performance fee is only charged when the program exceeds its previous historical peak.
NAV calculation, asset custody and audit aren't done by AP Markets — they're done by independent third parties.
An annual management fee of 0.75% to 1.25% depending on the program — designed to cover operations, not to be the business.
The performance fee (10% to 30% depending on the program) is charged only on new highs (high-water mark) and above a hurdle rate. Entry fee: 0%.
The exact percentages, minimums and conditions of each program appear in the client portal after your eligibility is validated.
Reference figures from the range’s master document; calibrated before launch and confirmed in each program’s rules.
Each tier has its target volatility, horizon and investor profile. Start where you feel comfortable, move up as experience grows.
Reference figures from the range’s master document; calibrated before launch and confirmed in each program’s rules.
The first Wealth Markets program closed its cycle at an audited +14% net for participants. One cycle does not guarantee the next — which is why we publish it with its full context and a closing audit.
Read the first program’s closing reportPast performance does not guarantee future results. Invested capital is subject to risk of loss.
What they share: proportional participation, transparent results and performance-only fees.
An initial period with no redemptions (varies per program). It gives the program stability and your investment discipline.
Redemptions are processed on defined dates (monthly, bi-monthly or quarterly) with notice.
If you exit during the declining tail after lock-up, the fee stays in the program (not with AP Markets).
If redemption demand exceeds the window cap, requests are pro-rated with the calculation published.
Structures the programs, clears KYB with each institution and channels the pooled capital.
Execute the investment strategies with their own teams, infrastructure and risk management.
Calculates the NAV, safekeeps and audits: the numbers you see are not produced by AP Markets.
Participation in the programs is subject to market and liquidity risk, and to risks specific to each program and its underlying institutions. Past returns do not guarantee future performance.
No. You participate in an AP Markets Ltd. program: AP pools participants’ capital and channels it to hedge funds and liquidity providers it has already cleared KYB with.
Know Your Business: due diligence between institutions. AP Markets clears it with every counterparty before channeling capital — a process an individual investor can hardly complete alone.
At NAV (value per unit): you enter at a price and your result evolves in exact proportion to your contribution within the program — like a PAMM, but for investing.
Each program has a minimum lock-up and scheduled redemption dates with notice. You know them in full before participating.
Patrimonial Reserve from USD 1,000, Capital Balance from USD 2,500, Dynamic Capital from USD 5,000 and Prime Vision from USD 50,000 (qualified investors only). Full conditions are confirmed in the portal after eligibility validation.
NAV, custody and audit are handled by independent administrators — not by AP Markets. You see the results reflected in your portal.
The Wealth Markets service is offered exclusively by AP Markets Ltd. (Saint Lucia, IFC 2026-00139) to international clients outside the UAE jurisdiction. AP Markets Ltd. — Dubai Branch does not offer or promote this service.
Open an account, complete the eligibility questionnaire and you will see the programs that match your profile.