Hedonova's performance vs. S&P 500 since inception
- Hedonova
- S&P 500
Hedonova's portfolio composition
40.93%
IRR
A performance measure that gauges the fund's potential profitability by considering investment duration, cash flows, and overall returns.
NaN%
Alpha over S&P 500
Absolute excess annual returns for the Hedonova portfolio over S&P 500 after adjusting for market related volatility and random fluctuations.
48.75%
CAGR
A performance measure that quantifies the fund's annualized return, factoring in compounding effects, for investor performance assessment.
78% of affluent families invest in alternative assets
With Hedonova, it is now possible for anyone to make profitable investments in these distinct asset classes.
Unicorn startups
Invest in Blue-chip art
High-yield real estate
Music royalties
Litigation finance
Invest in equipment leasing
Agriculture
Wine
Carbon credits
How it works?
Why choose Hedonova?
Hedonova provides a single access point to a portfolio of alternative assets that are globally diversified. The fund is uncorrelated with the stock market, tax-efficient, stable, and managed by a team of seasoned investment professionals.
$10,000 minimum investment
SEC-regulated
No tax withholding
Open-ended, evergreen fund
Tax friendly for non-US investors
Invest anonymously
10% Performance fee
1% Management fee
No lock-ups, quick liquidity
Memberships