FINANCES AS THEY SHOULD BE!
+150 ASSETS, FULLY DIVERSIFIED
CONTROLLED RISKS
MANAGED BY SOFTWARE
DATA DRIVEN INVESTING
We research. We create wealth.
We specialize in diversified portfolio management across precious metals, commodities, energies, equities, foreign exchange, options, bonds and digital assets. Our disciplined approach combines rigorous analysis with strategic execution to deliver exceptional returns for discerning investors.
Finaid Capital is a premier investment firm dedicated to delivering exceptional returns through strategic diversification across multiple asset classes. Founded on principles of rigorous analysis, risk management and market expertise.
We focus our strategy in four points: 1) protect our capital, 2) maximize gains. minimize losses, diversify investings in order to lower the risks of trading and, 4) automate the process of decision making.
Our investment philosophy centers on identifying undervalued opportunities in precious metals, commodities, global equities, fixed income securities, and emerging digital assets. We employ a disciplined approach that combines fundamental analysis with quantitative models to construct portfolios optimized for risk-adjusted returns.
With a team of experienced portfolio managers, financial analysts, and market specialists, we continuously monitor global economic trends, geopolitical developments, and market dynamics to position our investments advantageously.
At Finaid Capital, we believe that successful investing requires patience, time and agility. While we maintain a long-term perspective on wealth creation, we remain nimble enough to capitalize on short-term market inefficiencies. Our proprietary research capabilities and global network provide us with unique insights that inform our investment decisions and create value for our stakeholders.
We trade our own capital at our own risk. We are experts in systematic trading and we trade essentially all listed financial products and asset classes, with a focus on futures trading and long term investing.
Our track record demonstrates consistent outperformance across market cycles. The figures below represent our audited annual returns, reflecting the compounded growth achieved through our disciplined investment approach and strategic asset allocation. These returns are net of all management fees and expenses.
| YEAR | RETURN |
|---|---|
| 2025 | +26.7% |
| 2026 | ----% |
Pluno is a fully automatic trading system that searches for opportunities in the futures market and Forex. It trades several uncorrelated assets to diversify risks and get consistent returns. These returns are net of all management fees and expenses.
| YEAR | RETURN |
|---|---|
| DEC 2025 | +5.3% |
| JAN 2026 | ----% |
The Finaid Capital Token (FCT) represents the intrinsic value of Finaid Capital. Each token represents a fraction of ownership or participation in the company. With tokens it's possible to fractionalize ownership into smaller units, as if it were a "share", allowing people to invest with smaller amounts of capital. This democratizes investment opportunities that might otherwise require significant upfront investment. The Finaid Capital Token (FCT) and provides token holders with proportional ownership rights and profit participation. Each token is backed by our diversified asset portfolio and reflects our company's net asset value.
| MONTH | PRICE (EUR) |
|---|---|
| January 2026 | ---- |
| December 2025 | ---- |
| November 2025 | 2.43 |
We are pleased to announce our strategic acquisition of a diversified stocks portfolio, strengthening our position in undervalued sectors. This expansion aligns with our commitment to delivering superior returns through calculated diversification.
Precious metals markets have experienced significant upward momentum as investors seek safe-haven assets. Gold reached $4,400 per ounce, reflecting growing concerns about inflation and geopolitical tensions. Our substantial gold holdings have benefited considerably from this trend.
CME Group has halted trading across its Globex platform, affecting a wide range of contracts tied to stocks and crypto. The temporary suspension is due to a cooling issue at CyrusOne data centres.
Economic indicators from emerging markets demonstrate robust recovery patterns, with GDP growth accelerating across Asia and Latin America. These developments support our increased allocation to emerging market equities and sovereign debt instruments.
The FCT token has been launch, reflecting our company's strong fundamentals and consistent profit generation. We are working to have it available for investors.
Major central banks have indicated their intention to maintain accommodative monetary policy for the foreseeable future, creating favorable conditions for equity and alternative asset classes. Our portfolio positioning takes advantage of this low-rate environment.
Our strategy focuses on diversified portfolio management across precious metals, commodities, equities, fixed income, options and digital assets. We employ rigorous fundamental analysis combined with quantitative models to identify opportunities that offer optimal risk-adjusted returns.
We use a dual technical/fundamental approach to perform our operations. We have several propietary algorithms that decide on the best potential assets to invest to and trade them. The main goal of these algorithms is the mitigation and management of risk while trying to achieve a reasonable return with a controlled risk. Our priority is keep losses as small as possible while preserving the opportunity to realize large gains.
We currently trade ETFs, foreign exchange, Brent crude, natural gas, gold, silver, commodities, cryptocurrencies, ETFs, fixed income, options and indexes. We have our own trading software that helps us trade every financial asset with a minimum liquidity.
We use dual technical/fundamental approach to perform our operations. We have several propietary algorithms that decide on the best potential assets to invest to and trade them. The main goal of these algorithms is the mitigation and management of risk while trying to achieve a reasonable return with a controlled risk. Our priority is keep losses as small as possible while preserving the opportunity to realize large gains.
No, sorry, at this moment Finaid Capital manages a private fund.
FCT is a digital asset that directly represents the intrinsic value of the company itself. Unlike traditional equity structures, the FCT token creates a transparent, liquid market for stakeholders to participate in the company's real economic performance.
Each token is backed by Finaid Capital tangible assets, its revenue streams and operational infrastructure. As the company grows, innovates, and generates value, that value flows directly to token holders through a mechanism that reflects the true worth of the enterprise.
We are currently working to make this project a reality. We will announce it here when it will be available. If you are interested, please email us and we will provide you with timelines and details.
Our risk management framework includes portfolio diversification, position limits, regular stress testing, hedging strategies, and continuous monitoring of market conditions. We maintain a dedicated risk management team that operates independently from our investment team.
Address: Ingenio, Las Palmas de Gran Canaria.
Spain
Phone: +34 663 55 72 48
Email: info@finaidcapital.com
Business Hours: Monday - Friday
9:00 AM - 6:00 PM EST