Custody of Funds

At Solvent Capital Partners, the security and integrity of your investments are our highest priorities. We are committed to safeguarding client assets in strict alignment with best industry practices and regulatory requirements. Please review the following key principles that guide how we manage custody of client funds:

1. Trusted, Regulated Custodians

We partner exclusively with reputable, regulated brokers who serve as the official custodians for your investments. These partners are selected based on their strong track records, robust security measures, transparent operational protocols, and adherence to leading regulatory standards. As a result, your assets are afforded the highest level of protection and security at all times.

2. Freedom to Choose Your Broker

Solvent Capital Partners empowers clients with flexibility in selecting their preferred, regulated broker—whether a broker you know and trust, or one recommended by our team. This approach ensures you retain control over your accounts while benefiting from our trading systems, strategies, and services with a custodian of your choosing.

3. Segregation of Client Assets

All client funds are kept strictly segregated from the operational funds of Solvent Capital Partners and our affiliates. This separation of assets is a core principle of our custody policy, ensuring that your funds are protected, clearly identifiable, and immune to firm liabilities, consistent with regulatory requirements.

4. Transparent Statements & Reporting

You will receive regular, transparent account statements and performance reports directly from your chosen broker/custodian. These statements are designed to provide comprehensive visibility of your investment holdings, transaction history, and performance details, so that you remain fully informed and in control.

5. Pooled Accounts

Each client maintains a distinct, individual account with their selected broker, reinforcing asset protection and transparency.

6. Open and Transparent Communication

We are committed to maintaining proactive and honest communication regarding all aspects of our custody model and asset handling. Should you have questions, require clarification, or want to discuss tailored custody solutions, our team is available to assist and provide detailed information.

Our Commitment

Solvent Capital Partners strives to provide secure, transparent, and client-centric asset management. We are dedicated to upholding the highest standards of compliance and trust for every client we serve.

For more information on our custody of funds practices, or to discuss your unique requirements, please contact us:

Email:

*All performance data presented on our website is current as of March 31st, 2025. For the latest monthly performance updates, please refer to our factsheets which are updated monthly.

Contact Us

Contact Us

legal@solvent.life

legal@solvent.life

Adderss

100 Bishopsgate, 19th Floor, Office 1941, EC2N 4AG


London, United Kingdom

© 2025, Solvent Capital Partners

Risk Warning

All investments and trading activities involve significant risk, including the possible loss of your entire investment. Past performance is not indicative of future results. Products and services offered by Solvent.Life are intended for sophisticated investors who fully understand the risks involved. You should carefully consider your investment objectives, experience level, and risk appetite before participating. Solvent.Life does not guarantee any returns or outcomes. If you are unsure about any products or investment decisions, seek advice from an independent financial advisor.

Regulation

Securities are offered and sold pursuant to Regulation D, Rule 506(c) under the U.S. Securities Act of 1933, exclusively to accredited investors. Solvent.Life files required Form D notices with the U.S. Securities and Exchange Commission (SEC). For detailed offering information and filings, please consult the SEC’s EDGAR database. This is not an offer or solicitation to any person in any jurisdiction where such an offer or solicitation would be unlawful.

Custody of Funds

Client funds are held in segregated accounts and managed in accordance with applicable laws and regulations. Solvent.Life maintains strict procedures to ensure the security and integrity of all client funds. All custodial arrangements are fully compliant with regulatory requirements and subject to periodic review and audit.

Adderss

100 Bishopsgate, 19th Floor, Office 1941, EC2N 4AG


London, United Kingdom

© 2025, Solvent Capital Partners

Risk Warning

All investments and trading activities involve significant risk, including the possible loss of your entire investment. Past performance is not indicative of future results. Products and services offered by Solvent.Life are intended for sophisticated investors who fully understand the risks involved. You should carefully consider your investment objectives, experience level, and risk appetite before participating. Solvent.Life does not guarantee any returns or outcomes. If you are unsure about any products or investment decisions, seek advice from an independent financial advisor.

Regulation

Securities are offered and sold pursuant to Regulation D, Rule 506(c) under the U.S. Securities Act of 1933, exclusively to accredited investors. Solvent.Life files required Form D notices with the U.S. Securities and Exchange Commission (SEC). For detailed offering information and filings, please consult the SEC’s EDGAR database. This is not an offer or solicitation to any person in any jurisdiction where such an offer or solicitation would be unlawful.

Custody of Funds

Client funds are held in segregated accounts and managed in accordance with applicable laws and regulations. Solvent.Life maintains strict procedures to ensure the security and integrity of all client funds. All custodial arrangements are fully compliant with regulatory requirements and subject to periodic review and audit.

Adderss

100 Bishopsgate, 19th Floor, Office 1941, EC2N 4AG


London, United Kingdom

© 2025, Solvent Capital Partners

Risk Warning

All investments and trading activities involve significant risk, including the possible loss of your entire investment. Past performance is not indicative of future results. Products and services offered by Solvent.Life are intended for sophisticated investors who fully understand the risks involved. You should carefully consider your investment objectives, experience level, and risk appetite before participating. Solvent.Life does not guarantee any returns or outcomes. If you are unsure about any products or investment decisions, seek advice from an independent financial advisor.

Regulation

Securities are offered and sold pursuant to Regulation D, Rule 506(c) under the U.S. Securities Act of 1933, exclusively to accredited investors. Solvent.Life files required Form D notices with the U.S. Securities and Exchange Commission (SEC). For detailed offering information and filings, please consult the SEC’s EDGAR database. This is not an offer or solicitation to any person in any jurisdiction where such an offer or solicitation would be unlawful.

Custody of Funds

Client funds are held in segregated accounts and managed in accordance with applicable laws and regulations. Solvent.Life maintains strict procedures to ensure the security and integrity of all client funds. All custodial arrangements are fully compliant with regulatory requirements and subject to periodic review and audit.

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