PrimePrix Capital Investment Solutions

PrimePrix Capital organizes its investment solutions around real-world asset infrastructure, AI-assisted analysis, portfolio automation, and defined risk controls.

Technology for Structured Investment Workflows

The service framework is designed to help eligible clients review asset information, organize market signals, set portfolio rules, and monitor activity through one process.

Service availability, product terms, liquidity, and eligibility are set out in the applicable client documentation.

PrimePrix Capital execution tablet interface

Investment Frameworks and Portfolio Controls

PrimePrix Alpha Matrix

A systematic strategy framework that organizes market data, portfolio constraints, and reviewable execution rules.

  • Defined signal and position rules.
  • Pre-trade validation and live monitoring.
PrimePrix Capital quantitative research terminal

PrimePrix Macro Quant

A multi-asset research framework for reviewing macro conditions, volatility, and changing correlations across markets.

  • Uses several time horizons rather than one fixed market view.
  • Adjusts analysis when volatility and macro conditions change.
Market terminal showing macro research and analytics

Risk Controls Across the Investment Workflow

A structured control loop for pre-trade validation, live exposure monitoring, exception review, and post-trade records.

Market terminal showing portfolio controls

Pre-Trade Controls

Validate data, permissions, portfolio limits, and order conditions before execution.

Execution dashboard displayed on a tablet

Live Portfolio Monitoring

Review exposures, rule exceptions, and concentration while activity is in progress.

Client advisory discussion

Post-Trade Review

Reconcile activity and retain records for reporting, exception review, and operational follow-up.

Pre-Trade
Live Monitoring
Post-Trade
Pre-trade review keeps activity aligned with documented controls.Validate data, permissions, portfolio limits, and order conditions before execution.
Live monitoring surfaces activity that requires review against the agreed rules.Review exposures, rule exceptions, and concentration while activity is in progress.
Post-trade records make completed activity easier to review and reconcile.Reconcile activity and retain records for reporting, exception review, and operational follow-up.

Investor Tier Matrix and Onboarding Parameters

Allocation structures are matched to capital scale, liquidity needs, reporting cadence, and the level of quantitative support required.

For accredited institutions that need regular reporting and direct desk support.

Minimum Initial Capital
$5,000,000 USD
Liquidity & Redemption
Monthly, 15-day notice
Reporting Frequency
Daily NAV / Monthly Audited
Dedicated Support
Institutional Desk

For larger allocators that require flexible mandate design and closer reporting access.

Minimum Initial Capital
$25,000,000 USD
Liquidity & Redemption
Bi-weekly / Flexible
Reporting Frequency
Real-Time Portal Telemetry
Dedicated Support
Senior Quant Specialist

For complex mandates that require custom reporting, integration planning, and executive coordination.

Minimum Initial Capital
$100,000,000 USD+
Liquidity & Redemption
Customized Terms
Reporting Frequency
Live API & Custom Reports
Dedicated Support
Executive Leadership
Institutional reporting desk

Discuss Your Investment Requirements

Contact PrimePrix Capital to discuss asset requirements, portfolio workflows, reporting, or technical integration.

PrimePrix Capital partnership discussion