
Product
Description
& Investment
Strategy
This investment product offers directional exposure to blockchain-related digital assets, targeting long-term sector growth driven by ecosystems like Bitcoin, Ethereum, Solana, and Sui.
Designed for risk-aware investors seeking substantial capital appreciation, the strategy focuses on high-conviction positions in assets such as BTC, smart contract platforms, and leading DeFi and infrastructure protocols (e.g., AAVE and LINK). It also incorporates yield generation through staking, liquidity provision, and discounted OTC opportunities.
IVBF invests in blue-chip projects building foundational infrastructure with the potential to become the next Microsoft or Amazon. Our strategy provides a conservative yet high-upside alternative to typical crypto funds, with long-term return potential estimated at over 40% annually.
Long-biased directional hedge fund
Buy and hold top digital assets
Benefit from tokenization
of assets
Participate in discounted OTC deals
Navigate through bull and bear market
Quick Look:
Performance Data
This overview showcases IVBF’s monthly performance across the years, highlighting our strategic successes and the resilience of our investment approach
YTD | Dec | Nov | Oct | Sep | Aug | Jul | Jun | May | Apr | Mar | Feb | Jan | Year |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|
22%- | 19% | 10% | 13%- | 33%- | 2% | 2025 | |||||||
18% | 8%- | 54% | 6%- | 15% | 18%- | 9%- | 12%- | 17% | 25% - | 8% | 37% | 8% - | 2024 |
88% | 18% | 20% | 9% | 2% | 10% - | 4% - | 1% - | 5% - | 2% | 5% | 2% | 33% | 2023 |
Year | 2023 | 2024 | 2025 |
---|---|---|---|
Jan | 33% | -8% | 2% |
Feb | 2% | 37% | -33% |
Mar | 5% | 8% | -13% |
Apr | 2% | -25% | 10% |
May | -5% | 17% | 19% |
Jun | -1% | -12% | |
Jul | -4% | -9% | |
Aug | -10% | -18% | |
Sep | 2% | 15% | |
Oct | 9% | -6% | |
Nov | 20% | 54% | |
Dec | 18% | -8% | |
YTD | 88% | 18% | -22% |
Established in Czech Republic, 2023
Incorporation
IVBF, venture capital company, ltd
Company Name
Website
Regulation
Alternative Investment Fund
2% p.a. from AUM
Management Fee
Performance Fee
20% p.a. with High Watermark
40%+ p.a. (net)
Target Performance
Monthly subscriptions/redemptions
Liquidity
Qualified Investors
Target Audience
125 000 €
Minimum Investment
2% p.a. from AUM
Management Fee
Monthly NAV with real-time user NAV reporting
NAV
Long biased directional fund with high volatility
Risk profile
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