Fund Overview

About:
  • Specialize in transforming stock market volatility into opportunities through a carefully managed portfolio of VIX-based products.

Our Approach:
  • Our strategy leverages market volatility, refined over a decade, targeting a 15% annual gross return

  • Deliver consistent returns through a disciplined methodology and model

  • Employ long/short approaches to optimize performance in varying market conditions

  • Operate with a commitment to safety, clarity, and investor trust

  • Minimize costs to maximize investor returns

  • Provide frequent liquidity to ensure flexibility and accessibility for investors

  • Dedicated to helping investors navigate the complexities of the market with confidence and success

  • Disciplined risk management using market data, sentiment, and liquidity monitoring to protect capital

Facts:
  • We invest alongside our clients, ensuring shared goals

  • Emphasis on steady, long-term growth, focused on a disciplined approach

  • Managing back office and compliance

  • 3rd party fund administrator

  • Full operational and performance transparency

  • Proactively updated on legal changes

  • Strict focus to cash flow, timing, and product allocation

Terms:
  • Accredited Investors

  • Lock-Up Period: None

  • Account Structure: Open Ended Fund

  • Fees: 0% Management; Performance Allocation 80 / 20 (High Water Mark)

  • Securities: Regulation D - 506 (C)

Our Team:
  • 30+ years of combined experience.

This document is for informational purposes only and does not constitute an offer to invest, buy or sell securities. All cont ent is protected by copyright. * All Performance Numbers are Gross, do not Include: Expenses, Management or Performance Fees. ** The performance figures shown are from my own personal trading account and will be traded in the same manner and with the same strategy. *** All information provided by Interactive Broke rs. **** Past results are not necessarily indicates of future results.

Disclaimer: Past results are not necessarily indicative of future results. Vich Capital is a Private offering.

Investing involves risk, including the potential loss of principal. Past performance does not guarantee or indicate future results. Any historical returns, expected returns, or probability projections may not reflect actual future performance.

This material is for informational purposes only and does not constitute an invitation, offer, or solicitation to buy or sell any security, or to adopt any investment strategy. Offers to sell or solicitations of offers to buy any security can only be made through official offering documents that contain important information about investment objectives, risks, fees, and expenses. Prospective investors should carefully review such documents and consult with their own tax, legal, and/or financial advisers before making any investment decision.

While information contained herein has been obtained from sources believed to be reliable, Vich Capital does not represent it as accurate or complete and it should not be relied upon as such. Any illustrations, estimates, views, or projections reflect our judgment as of the date indicated, involve significant elements of subjective analysis and assumptions, and are subject to change without notice. No representation is made as to the accuracy of such information or that all assumptions underlying such statements have been considered or stated.

Neither Vich Capital nor any of its affiliates provide tax advice or represent in any manner that the outcomes described herein will result in any particular tax consequence. Nothing in this document should be construed as legal, tax, or investment advice, nor as establishing any fiduciary relationship.

This material is confidential and proprietary to Vich Capital, is provided solely for your use, and may not be reproduced, circulated, or distributed without our prior written consent. Distribution may also be restricted by law or regulation in certain jurisdictions.

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