FOREX FUND INCOME CAPITAL
Active, transparent and performance-oriented management.
Zero fixed costs: we only earn if you earn too.
Our Forex Fund offers professional access to the global currency market.
A disciplined and technological approach that combines technical and fundamental analysis with artificial intelligence algorithms to identify the best trading opportunities on the world’s major currencies.
Each strategy is developed with the aim of protecting and enhancing capital, adapting to different market phases.
HOW THE FOREX FUND WORKS
Dynamic management, scientific method.
The Fund operates through active and flexible management: each transaction is selected based on proprietary models that integrate macroeconomic, technical and quantitative analyses.
Machine learning and financial AI systems monitor volatility, correlations and trends in real time, allowing for rapid reactions to market changes.
The result is an adaptive investment model capable of balancing risk and return even in complex global contexts.
ECONOMIC MODEL
Zero fixed costs, only performance
Income Capital’s Forex Fund model is transparent and aligned with the investor’s interests: if the client earns, we earn too.
If there is no profit, there are no commissions or fixed costs.
This structure incentivises real performance and responsible capital management, eliminating any conflict of interest and ensuring maximum clarity on results.
RISK LEVELS AND INVESTMENT PROFILES
The Fund offers four risk profiles to suit different investor needs, from the most conservative to the most dynamic.
Each level combines capital protection, a return target and a personalised risk threshold.
Conservative
Level
- 50% capital protection
- Expected return of 20–25% per annum
- Ideal for those who prioritise stability
Mid-Conservative
Level
- 25% capital protection
- Expected return 25–40% per annum
- Balance between prudence and growth
Mid-Aggressive
Level
- 12.5% capital protection
- Expected return 30–55% per annum
- Greater exposure for more profit
Aggressive
Level
- No capital protection
- Expected return 35–70% per annum
- Maximum risk exposure
TECHNOLOGY AND RISK CONTROL
Continuous risk management
The Fund’s strategy combines human expertise and advanced technology to constantly monitor the markets and preserve capital.
The use of Expert Advisors and predictive artificial intelligence systems allows thousands of data points to be analysed in real time, identifying trend changes, correlations and reversal points with high accuracy.
Shared performance, common goals
The Fund’s model is based on a true partnership with investors, founded on transparency, alignment and measurable results.
All interests are shared: our performance depends directly on that of the Fund.
Each investor can independently monitor the performance of the strategies thanks to monthly reports and updates published on the website, which illustrate results, positions and consistency of approach over time.
See our RESULTS
TALK TO US
Would you like to learn more about the Forex Fund’s strategy or identify the risk profile that best suits your objectives? The Income Capital Management team is available to assist you in your choice and show you how we operate in global markets with method, discipline and transparency.