Two investment strategies built around aligned incentives — a 50/50 performance-share model with zero fixed management fees.
A lower-risk allocation across T-Bills, PSX, and select stable assets, with capital preservation as the primary objective.
An actively managed allocation across digital assets, FX, and equities, seeking capital growth within a defined risk framework.
Transparent. Fair. Performance-aligned.
Profit sharing — 50% Investor, 50% Ensova. We earn when you earn.
Minimum investment to open a discretionary managed account.
No fixed management fee — a pure performance-based model.
Your money, your choice — with structured security.
Minimum lock-in period.
Written notice for exit.
Withdrawals processed via the same method as deposit.
Defined maximum drawdown limit per mandate.
All investments carry risk, including the possible loss of capital. Past performance is not indicative of future results, and no specific return is guaranteed.
Speak with our team to discuss which strategy aligns with your objectives.
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