Fixed Income Bond
(Dual-Tranche)

Choose between two tranches with different maturities but shared strengths.

Tranche A
8,00 %
p.a.
December 31, 2028
  • Shorter Term, Attractive Returns
  • Regular Interest Payments (e.g. annually)
  • Minimum Investment from €5,000
  • Built on Proven Algorithmic Excellence from Professional Trading
  • Dedicated Personal Support from Our Investor Relations Team
Tranche B
8,50 %
p.a.
December 31, 2030
  • Longer Term with Higher Returns
  • Regular Interest Payments (e.g. annually)
  • Minimum Investment from €5,000
  • Built on Proven Algorithmic Excellence from Professional Trading
  • Dedicated Personal Support from Our Investor Relations Team

Your investment in our bond gives you the opportunity to benefit from our innovative algorithmic trading solutions while pursuing attractive financial returns.

The Benefits of Investing in Our Bond

Tranche A
Tranche B
Interest Rate
8.00% p.a.
8.50% p.a.
Term
Until Dec. 31, 2028 2028
Until Dec. 31, 2028 2030
Total Nominal Amount
€10,000,000
€5,000,000
Minimum Investment Amount*
€5,000
€5,000
Subscription Without an Issue Premium
Yes
Yes
WKN / ISIN
A460B3 / DE000A460B32
A460B4 / DE000A460B40
Risks
Issuer- and Security-Related Risks
Issuer- and Security-Related Risks

*Higher investment amounts must be divisible by €1,000.

¹ Audit betrifft Live-Rendite (TWR)
² Vorläufige Zahlen

We believe that disciplined, data-driven strategies outperform emotion and intuition. Systematic investing uses objective models to identify market inefficiencies and exploit them consistently over the long term.
Dr. Jonas Hetz
Dr. Jonas Hetz
Quantitative Analyst

Key Benefits of This Bond at a Glance

01

Scientifically Validated Platform

Alphawave's trading platform has been independently audited, confirming a robust codebase and a high-performance backtesting infrastructure.
02

True Alignment of Interests

Alphawave assumes the full trading risk on its own balance sheet. This direct alignment ensures disciplined, long-term corporate management that is fully aligned with the interests of our investors.
03

Live Performance Validates the Model

Our live results are consistent with expectations derived from more than 15 years of historical data and simulation. This demonstrates that our models perform not only in theory but also in real market conditions.
04

Quantitative Robustness Across Market Cycles

Our strategy has been tested across multiple market regimes and remains consistent regardless of market trends. Low correlation and controlled drawdowns make Alphawave a stable, cycle-resilient alternative.
05

Scalable, Profitable Business Model

In 2024, we achieved our first annual profit—a clear demonstration of the economic scalability of our technology. As assets under management (AUM) grow and operational efficiency remains high, earnings increase disproportionately.

Invest with Confidence

All the Information You Need to Make an Informed Decision

Do You Have Questions or Need More Information?