ABOUT US
An independent management company specialising in alternative investments.
OUR MISSION
Income Capital Management s.r.o. is an independent asset management company based in Prague, founded in 2021. The company manages alternative investment funds (AIFs) and instruments dedicated to qualified investors, with a focus on return strategies uncorrelated with traditional markets. We operate with a prudent and diversified approach, integrating expertise in currency markets, real estate, precious metals and global strategies. Our mission is to create stable and sustainable value over time, while adhering to high standards of transparency and governance.
PAOLO VOLPICELLI
FOUNDER & CEO
With over 25 years of experience in FOREX, Paolo leads fund strategy and oversight. He is responsible for investor relations and the development of new investment instruments.
NICOLA PINCHI
CO-FOUNDER & CTO
Nicola Pinchi is a co-founder who supports the project’s technological direction, focusing on digital innovation, data management, automation, and the strategic use of artificial intelligence.
A team with international background
Complementary skills in analysis, management, compliance, communication and financial technology.
Our team is composed of professionals with complementary skills in financial analysis, management, compliance, communication and technology applied to finance.
The presence of analysts in different geographical areas – Europe, the United States and Asia – allows us to maintain an up-to-date and multilateral view of the main global markets.
Each analyst brings specific expertise related to the local context, because we understand that international markets require different approaches in terms of culture, regulationS and economic dynamics.
Our management activities are also supported by technical and commercial assistance staff, backed by a network of partners and advisors who manage relations with investors and financial institutions.
WE ALWAYS LOOK FORWARD
Our work philosophy is based on three key principles:
- Stability – we pursue strategies geared towards long-term continuity, avoiding speculative approaches.
- Diversification – we balance portfolios across multiple uncorrelated assets to reduce volatility and increase resilience.
- Transparency – every result, risk or change is communicated clearly and promptly, because we believe that trust can only be built on facts.
We look to the future with the aim of expanding our range of alternative funds, strengthening our presence in European and international markets.
We constantly invest in technology, data analysis and decision-making automation to make management increasingly efficient, secure and transparent.
We believe in combining experience and innovation, in the value of human capital and in building lasting relationships with our investors and partners.
DISCOVER OUR SOLUTIONS
From currency market funds to real investments, discover how Income Capital Management strategies can help you diversify, protect and enhance your wealth.