our profile >
The company manages only assets of a small number of selected investors, who are qualified investors according to ZISIF. The company does not publicly offer investments nor does it collect financial means from the public. The company does not provide any core investment services nor does it provide ancillary investment service of safekeeping and administration of financial instruments for the account of clients, as regulated by the Act. No. 256/2004 Coll., on Capital Market Undertakings (“ZPKT”). The provided information is general and does not serve as presentation of any investment instruments or investment services. No information presented may be considered as an offer of any investment instrument or any other form of investment under ZISIF or ZPKT.
fund management >
Fund management is carried out by our Company using various strategies that we develop to ensure a full return on investment within the framework of risk levels agreed with the investor. We manage funds based on a written agreement. Assets are stored in depositories agreed with the client. LOCK STOCK manages the assets of the fund under the conditions specified in the Agreement. Fund asset management means that the client entrusts his portfolio and current investment decisions to the fund manager, who is authorized to carry out operations with assets in accordance with the principles that have been agreed with the client. The advantage of asset management is that the client does not need to actively monitor the market, but he has a professional portfolio manager who monitors investments and can make changes to the portfolio in accordance with the current market situation.
An investor, after concluding a management agreement and transferring assets, receives an electronic application and access keys to your personal account to receive up-to-date information on the state of the portfolio and to transmit messages and instructions within the framework of the Management Agreement. Monthly or quarterly, the investor receives an electronic report on the status of his assets.
The sections STRATEGIES and FUNDS will provide you with more details of our financial products .
For more information or help on how to invest, use the contact details:
For EU residents
+420 296 183 172
For the rest of the world
+420 770 642 959
+44 204 577 07 12