Elevating Investing with MoonStrike Capital Partners

Investments Simplified - Experience the MoonStrike advantage & reimagine your financial future!

Begin your investment journey

Empowering your dreams, one investment at a time

Unlock your potential and turn your aspirations into reality. Our expert guidance helps you make informed investment decisions, aligning your assets with your goals.

Investment Odyssey

Building bespoke, high-yield investment strategies

MoonStrike Capital Partners was established with a vision to capitalize on emerging opportunities in the digital era. Our team of experienced professionals leverages advanced financial expertise, research capabilities, and extensive knowledge and exposure in the De-Fi sector to deliver unique perspectives and specialized insights.

Delivering For Investors

At MoonStrike CP, we're driven by a singular mission: to turn your vision into
a reality. We're not just managing money - we're managing the futures of people who
are striving to achieve their financial goals. With every investment, every decision,
and every dollar we manage, we're writing a story of perseverance and achievement.
Our team is dedicated to doing what it takes to bring your vision to life.

Why do we stand out?

We take a diversified portfolio approach to help manage portfolio volatility and provide a more representative exposure to the industry’s adoption trends and growth potential. By spreading our  investments across various markets, we minimize the risk of individual stock or market fluctuations.

Our strategy is designed to deliver superior risk-adjusted returns over a full market cycle, compared to a passive strategy of buying and holding only Bitcoin. We believe that a diversified portfolio approach, combined with our active investment strategy, is the key to achieving long-term outperformance.

We utilize systematic risk management techniques to minimize raw downs and capture the most value during large upward moves. By doing so, we’re able to capture the upside of the crypto market while minimizing downside volatility.

Our active strategy is based on fundamental, valuation, and technical principles, aimed at investing in differentiated markets with favorable risk-reward profiles. By combining these principles with our systematic risk management approach, we’re able to deliver long-term
outperformance and achieve our goal of capturing high-return opportunities.

Our investment strategy is designed to identify markets that have favorable risk-reward profiles and are likely to deliver long-term outperformance. We believe that by investing in  these differentiated markets, we can deliver superior returns while minimizing risk.

Investment Offerings

Digital Asset Dynamic Fund

Unique fund opportunity for high returns in a highly liquid market with adaptability and flexibility

Designed to capitalize on short-term market pportunities in a highly liquid market. The goal of this fund is to generate robust returns by leveraging the fund’s flexibility and agility to adapt to changing market conditions.

  • ROI per annum: 36%
  • Minimum investment: $1,000
  • Minimum contract period: 06 months
  • PF (Performance Fee): 20% of net profits
  • SF (Service Fee): 2% of assets under management

Digital Asset Progressive Fund

Investing in innovative Web 3.0 products and ICOs, fostering close relationships with industry leaders and innovators.

The DAP fund is a forward-thinking investor that seeks out innovative earlystage Web 3.0 products and initial coin offerings. By fostering close relationships with industry leaders and innovators, we stay at the forefront of the latest developments. Through DAP, the mass market can now gain access to a wide range of investment opportunities in the rapidly evolving Web 3.0 ecosystem.

  • ROI per annum: 40%
  • Minimum investment: $1,000
  • Minimum contract period: 09 months
  • PF (Performance Fee): 25% of net profits
  • SF (Service Fee): 2% of assets under management

Emerging Markets Equity Fund

Flexible subscription options for various investment goals and risk tolerance.

Markets in emerging economies have consistently outpaced those of the NYSE, LSE, and other major European markets. Over the past five years, these markets have exhibited double-digit growth, demonstrating their potential for significant returns. Our indepth knowledge of these emerging markets enables our EME fund to make informed investment decisions, leveraging our expertise to identify high-growth stocks and deploy equity effectively.

  • ROI per annum: 18%
  • Subscription contract options:
    $100, $200, $500
  • Minimum contract period: 03 months
  • PF (Performance Fee): 12% of net profits
  • SF (Service Fee): 2% of assets under management

Emerging Markets Equity Fund

Flexible subscription options for various investment goals and risk tolerance.

The Index Go Fund is a unique investment opportunity that allows individuals to participate in the financial market with ease. By subscribing to our fund, you can benefit from the power of equal capital allocation across our flagship funds. We offer flexible subscription contracts to cater to different investment goals and risk tolerance.

  • ROI per annum: 18%
  • Subscription contract options:
    $100, $200, $500
  • Minimum contract period: 03 months
  • PF (Performance Fee): 12% of net profits
  • SF (Service Fee): 2% of assets under management

What Makes our Funds So Lucrative?

At MoonStrike Capital, we’re committed to capturing high-return opportunities by leveraging market volatility to invest in attractive equity markets with high expected returns. Our approach is designed to deliver superior risk-adjusted returns over a full market cycle, outperforming a passive strategy of buying and holding only Bitcoin.

We take a diversified portfolio approach to help manage portfolio volatility and provide a more representative exposure to the industry’s adoption trends and growth potential. By spreading our investments across various markets, we minimize the risk of individual stock or market fluctuations.
Our strategy is designed to deliver superior risk-adjusted returns over a full market cycle, compared to a passive strategy of buying and holding only Bitcoin. We believe that a diversified portfolio approach, combined with our active investment strategy, is the key to achieving long-term outperformance.
We utilize systematic risk management techniques to minimize raw downs and capture the most value during large upward moves. By doing so, we’re able to capture the upside of the crypto market while minimizing downside volatility.
Our active strategy is based on fundamental, valuation, and technical principles, aimed at investing in differentiated markets with favorable risk-reward profiles. By combining these principles with our systematic risk management approach, we’re able to deliver long-term outperformance and achieve our goal of capturing high-return opportunities.
Our investment strategy is designed to identify markets that have favorable risk-reward profiles and are likely to deliver long-term outperformance. We believe that by investing in these differentiated markets, we can deliver superior returns while minimizing risk.

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