Terms & Conditions

Client Agreement governing asset management services, investment portfolios, and fiduciary responsibilities with Blockaris Asset Management.

1. Subject Matter of Agreement

Blockaris Asset Management ("The Manager") and the Client enter into this Client Agreement for trust management of investment funds.

1.1 Fund Transfer

The Client transfers funds to the Manager for investment in marginal financial instruments including Forex trading, US equities, securities, derivatives, and stock indices.

1.2 Investment Services

The Manager provides comprehensive asset management services including strategic portfolio allocation and global brokerage partnerships.

1.3 Ownership Rights

Funds remain the property of the Client. Trust management does not transfer ownership to the Manager.

1.4 Global Services

The Manager serves international investors through registered online accounts with full compliance to jurisdictional requirements.

1.5 Electronic Agreement

Account registration constitutes acceptance of these Terms. All terms are binding upon first fund transfer.

2. Fiduciary Responsibilities

2.1 Best Interest Standard

The Manager acts solely in the Client's best interests with exclusive discretion on optimal investment strategies.

2.2 Strategic Management

Comprehensive portfolio management through global partner brokerages with weekly performance reporting via Client dashboard.

2.3 Risk Profiles

  • Short Strategy (13 days): High-risk, high-return focused portfolios
  • Medium Strategy (21 days): Balanced risk-return portfolios
  • Long Strategy (31 days): Conservative, long-term growth portfolios

2.4 Compliance Verification

The Manager reserves rights to verify Client documents for compliance. High-resolution documents required for validation.

3. Investment Portfolios

Three strategic portfolio groups optimized for different investment horizons and risk tolerances:

Short-Term
13

Days • Daily Returns

Medium-Term
21

Days • Weekly Returns

Long-Term
31

Days • Monthly Returns

Performance Calculation: Returns credited to Client accounts based on portfolio strategy duration and positive performance metrics.

Legal & Regulatory

Global Compliance

Full compliance with international financial regulations. Services provided through licensed global brokerages.

AML/KYC Procedures

Strict anti-money laundering and know-your-customer verification required for all Clients.

Dispute Resolution

All disputes resolved through arbitration under international commercial law.

Client Protections

Fund Segregation

Client funds maintained in segregated accounts separate from company operating funds.

Transparency

Real-time portfolio tracking and weekly performance statements provided via Client portal.

Termination Rights

Clients may terminate agreement with 30 days written notice without penalty.

Agreement Acceptance

By creating an account and making your first investment, you acknowledge that you have read, understood, and agree to be bound by these Terms & Conditions.