Business Description

Luxury Asset Fractional Fund ( LUXF )

The Luxury Asset Fractional Fund is a pioneering $98 million vehicle designed to lower the barrier to entry for high-appreciating luxury goods. While traditional luxury investing requires significant capital, this fund allows investors to purchase "fractional shares" of individual high-value assets, including Real Estate, rare timepieces, investment-grade handbags, and exotic automotive assets.

Luxury Asset Fractional Fund ( LUXF )

About this fund


The Luxury Asset Fractional Fund is a pioneering $98 million vehicle designed to lower the barrier to entry for high-appreciating luxury goods. While traditional luxury investing requires significant capital, this fund allows investors to purchase "fractional shares" of individual high-value assets, including Real Estate, rare timepieces, investment-grade handbags, and exotic automotive assets.
 

Public Benefit: This fund democratizes the alternative investment landscape, providing the public with access to high-yield assets typically reserved for the ultra-wealthy.

 

Investment Structure & Terms
 

Component

Details

Target Raise

$98,000,000 USD

Yield Type

Monthly Distributions

+ Performance Bonus

Mandatory

Hold Period

24 Months

Collateral

Physical Luxury Assets

 (Secured & Insured)

Time of Asset

Open On Going

 
 

How It Works


1.     Strategic Sourcing: We identify and acquire "Alpha" assets using a proprietary verification network.


2.     Fractionalization: Assets are divided into digital shares, allowing for micro-equity ownership.


3.     Management & Exit: Assets are maintained, insured, and vaulted. Upon reaching target market appreciation, the asset is liquidated.


4.     Distribution: Proceeds from the sale, plus accrued monthly yields, are distributed to shareholders.


 

Suitability

This fund is designed for investors seeking exposure to luxury markets with smaller capital outlays. Security is guaranteed by:

Physical Ownership: All assets are held in secure, climate-controlled
facilities.

Full Insurance: Replacement value insurance covers all inventory against loss or damage.

Rigorous Authentication: Multi-point verification via ACC ensures 100% authenticity of every portfolio asset.

How you earn

  • 1. Spread ROI: A preferred annual return distributed monthly providing consistent cash flow.
  • 2. Monthly Performance Bonus: As a NAV-based fund, monthly bonuses may be issued based on the appreciation of the portfolio’s underlying assets and trading volume.
  • 3. Capital Appreciation: A pro-rata share of the capital gains realized when specific assets are sold in the secondary market.

Terms Of Use

 To ensure the stability of the NAV and the security of all participants, the following terms apply:

Valuation Policy: Net Asset Value (NAV) is recalculated monthly. While the physical assets provide a floor, share prices may fluctuate based on current secondary market data.

Redemption & Exit: After the 24-month mandatory hold, investors may request a buy-back at the current NAV or transfer their shares to a verified third party (friends, family, or charitable organizations).

Platform Fees: A 1% annual management fee is baked into the NAV to cover vaulting, security, and professional insurance.

Compliance: All investors must pass standard KYC (Know Your Customer) protocols. Assets remain the property of the Fund for the benefit of the shareholders until liquidation.

 

APODCSTORE

Investor Relations: ir@apodcstore.com

Invest Now

Security Type:
Luxury Fractional
Price Per share:
$ 10.00
Minimum Invest:
23999.00
Max Funding Goal
$97,999
Investment Bonuses!
Performance Bonus
Participate in the Early Performance Bonus 8% spread minimum of 100k plus in investing
Invest Now
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