Who we are

      Aurexo Group is a European-based investment fund built and managed by a team of seasoned traders with decades of combined experience in global markets. Our senior partners have personally overseen portfolios exceeding £100 million in value across institutional mandates, family offices, and private clients.

With deep experience across market cycles, we do more than follow trends — we know how to protect and grow capital through economic shifts, geopolitical events, and volatility. Our approach blends traditional asset management with algorithm-assisted execution, combining human insight and advanced systems to deliver consistent, long-term results.

We are not financial advisers and do not offer retail investment products. Instead, we operate solely as portfolio managers for qualifying investors, applying the same level of diligence and oversight to client capital as we do to our own. This focus allows us to maintain a disciplined, risk-aware approach, built to perform across a wide range of market environments.

Our Philosophy

Our guiding principles are simple — and they shape every decision we make:

Disciplined execution > speculative exposure

We follow a structured, rules-based process on every trade, avoiding impulsive market moves and unfounded bets.

Growth through compounding, not leverage

We focus on steadily building returns by reinvesting profits, rather than relying on excessive leverage or unsustainable risk.

Every position governed by strict risk protocols

No trade is placed without a predefined exit strategy and a capped maximum risk of 1% per position.

No shortcuts — only structure and reporting

We believe in operational transparency, providing monthly reports to our investors and maintaining a verifiable audit trail for every trade executed.

OUR PROMISE

      Aurexo Group operates with the professionalism, transparency, and investor safeguards you would expect from an institutional-grade investment manager.

These principles guide every part of our operations and include:

Capital protection as a core priority

‍We operate a strict, rules-based risk management framework designed to limit exposure and preserve investor capital at all times.

Transparent monthly reporting

‍All qualifying investors receive clear, detailed performance updates and portfolio summaries every month.

Self-certification for all investors

‍Access to our strategies is limited exclusively to individuals and entities who meet the self-certification requirements as high-net-worth, sophisticated, or professional investors under UK legislation.

In addition, we maintain:

External custodianship of client funds

All investor capital is held with regulated custodians in segregated client accounts.

Internal trade audit trails

Every transaction is recorded, timestamped, and available for independent review.

Strict suitability and onboarding protocols

No investor is accepted without confirmation of eligibility, a completed suitability assessment, and clear understanding of our investment model and associated risks.

Onboarding Process

Initial Registration

Begin by completing our secure qualification form.
We’ll ask for:

  • Your name and contact details
  • Your country of residence
  • Your investor classification (High-Net-Worth, Sophisticated, or Institutional)
  • Your preferred investment term (1, 3, or 5 years)
  • Your estimated capital allocation range

This initial registration does not commit you to invest — it’s the first step in establishing whether our approach is right for you.

Register your interest
Register your interest
01
Suitability Review

Our compliance team reviews your application to confirm that:

  • You meet the self-certification criteria required under your governing legislation.
  • Our strategy is appropriate for your investment objectives and risk profile.
  • There is no conflict with your existing investment restrictions or preferences.

We may request additional information during this stage to ensure the highest level of investor protection.

02
Receive Investor Documentation

Once approved, you’ll receive secure, read-only access to:

  • Our full Investor Memorandum
  • Historical performance reports and trade summaries
  • A complete breakdown of management fees and minimum allocations
  • Our governance, custody, and risk management framework
Learn about our Compliance & Security
Learn about our Compliance & Security
03
04
Portfolio Setup

If you decide to proceed, we’ll guide you through the funding and setup process:

  • Capital transfer to regulated custodian accounts
  • Portfolio allocation into our live trading strategy
  • Activation of your secure investor dashboard, providing monthly performance reports and portfolio updates

From this point forward, your capital is actively managed under our strict execution model, with profits compounded weekly and liquidity available in quarterly windows.

05
Ongoing Relationship

From day one, you’ll have a trusted point of contact and clear visibility into your portfolio. Our service is built around transparency, accessibility, and discipline.

  • Dedicated Account Manager – A personal contact who oversees your journey and ensures continuity.
  • Monthly Reporting – Secure delivery of portfolio performance and market insights.
  • Direct Access – Speak with our investor relations team whenever you need support.
  • Transparency – Quarterly liquidity windows, full audit trails, and optional real-time reporting for institutions.

Capital Preservation. Consistent Growth. Complete Transparency.

Our onboarding process is built for clarity — from your first enquiry to active portfolio management, every step is designed to ensure suitability, security, and simplicity.

128, City Road
London, EC1V 2NX, UK
support@aurexogroup.com
support@aurexogroup.com
Aurexo Group is not authorised or regulated by the UK Financial Conduct Authority (FCA). This website is intended solely for self-certified sophisticated investors, high-net-worth individuals, and qualifying institutional entities. All investments involve risk. Past performance is not indicative of future results. You may lose all or part of your capital. Access to detailed strategy information, performance reports, and commercial terms is strictly limited to qualified investors who have completed our suitability and onboarding process.