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Discretionary Managed Accounts · Multi-Strategy

Disciplined capital management for serious investors.

Veridion Capital Management delivers structured, oversight-driven investment management across multiple strategy sleeves, with transparent investor reporting, secure document handling, and direct access to your account team.

Capital is at risk. Past performance is not a reliable indicator of future results.
At a glance
Assets under management
R100,000,000
Active investment strategies
6
Blended YTD return
+19.74%
Asset classes covered
Indices · Metals · Multi-Asset

Performance figures shown are representative of strategy-level returns and are provided for informational purposes only. Individual account results may differ based on entry date, allocation size, applicable fees, and prevailing market conditions. Past performance is not a reliable indicator of future results. No representation is made that any account will achieve similar results.

Why Veridion

Built around process, discipline, and transparency

We believe sound investment management is fundamentally about structure. Not promises, not hype. A disciplined framework that manages capital responsibly and keeps investors informed.

01

Disciplined Process

Each strategy operates within defined risk parameters, structured mandate documentation, and a consistent oversight framework, not discretionary trading without governance.

02

Risk-Aware Approach

Risk management is embedded in our operational structure. We monitor drawdown, exposure, and position-level risk on an ongoing basis, not reactively.

03

Transparent Reporting

Investors receive monthly statements, access to a secure document vault, and a live portal showing current allocations and account-level performance.

04

Professional Structure

Investor accounts are maintained separately from operational accounts. Capital instructions, compliance reviews, and reporting are governed by internal controls.

How It Works

From enquiry to active reporting: a structured path

Every investor follows a structured onboarding and activation path before capital is allocated. There are no shortcuts, only a clear, auditable process.

01

Initial Enquiry & Review

Submit your profile. Our team reviews your investment objectives, jurisdiction, and suitability for the applicable entity and strategy range.

02

Onboarding & Documentation

Complete the KYC and compliance process, sign the relevant managed account mandate, and confirm your capital instruction.

03

Capital Allocation & Mandate Activation

Funds are allocated to your selected strategy sleeve. The mandate is activated and reporting begins from the initial reference period.

04

Ongoing Reporting & Oversight

Receive monthly statements, access the investor portal for real-time account data, and engage your account team for any capital instructions or queries.

Investment Strategies

Diversified across asset classes

Each Veridion strategy operates within defined risk parameters, with transparent performance tracking and regular investor reporting. Strategies are not suitable for all investors; suitability is assessed during onboarding.

Broker-synced cache
Illustrative simulated data
Illustrative simulated strategy figures are provided for informational purposes only and do not represent audited live portfolio performance.
VGS · Metals CFD

Veridion Gold Strategy

XAUUSD — focused gold exposure with active directional management.

AUM
R15,544,041
YTD Return
+9.03%
Total Return
+22.41%
Minimum allocation
R100,000

Capital at risk. Past performance is not a reliable indicator of future results.

View performance
VUT · CFD Indices

Veridion US Tech Strategy

NAS100 — concentrated US technology index strategy with momentum focus.

AUM
R13,056,995
YTD Return
+5.05%
Total Return
+4.86%
Minimum allocation
R100,000

Capital at risk. Past performance is not a reliable indicator of future results.

View performance
VGE · CFD Indices

Veridion Global Equity Strategy

S&P500, US30, and GER40 — diversified developed-market equity index exposure.

AUM
R22,694,301
YTD Return
+26.36%
Total Return
+35.87%
Minimum allocation
R100,000

Capital at risk. Past performance is not a reliable indicator of future results.

View performance
VBP · Multi-Asset CFD

Veridion Balanced Portfolio

XAUUSD, NAS100, S&P500, GER40, and US30 — balanced multi-asset blend.

AUM
R22,797,927
YTD Return
+38.06%
Total Return
+60.76%
Minimum allocation
R250,000

Capital at risk. Past performance is not a reliable indicator of future results.

View performance
VAG · CFD Indices

Veridion Aggressive Growth Portfolio

NAS100 and GER40 — aggressive growth-oriented equity index strategy.

AUM
R11,398,964
YTD Return
+8.98%
Total Return
+13.03%
Minimum allocation
R100,000

Capital at risk. Past performance is not a reliable indicator of future results.

View performance
VGH · Multi-Asset CFD

Veridion Gold Hedge Portfolio

XAUUSD, NAS100, and S&P500 — gold-hedged portfolio blending growth and commodity exposure.

AUM
R14,507,772
YTD Return
+13.77%
Total Return
+29.28%
Minimum allocation
R250,000

Capital at risk. Past performance is not a reliable indicator of future results.

View performance

Performance figures shown are representative of strategy-level returns and are provided for informational purposes only. Individual account results may differ based on entry date, allocation size, applicable fees, and prevailing market conditions. Past performance is not a reliable indicator of future results. No representation is made that any account will achieve similar results.

Investor Scenarios

Illustrative allocation outcomes

Scenario outcomes model allocations across current strategy weights and apply simplified fee assumptions (1% p.a. management fee and 20% performance fee on profits only). These examples are illustrative and not audited investor results.

Scenario capital
R1,000,000
Gross +31.84%
Net +24.61%
Illustrative gross ending value
R1,318,436
Illustrative net ending value
R1,246,082
Gross profit
R318,436
Illustrative fee deductions
R72,354
Strategy
Allocation
Return
Gross
Net
VGS
R155,440
+22.41%
Net +17.06%
R190,275
+R34,834
R181,961
Fees R8,314
VUT
R130,570
+4.86%
Net +3.02%
R136,916
+R6,346
R134,515
Fees R2,401
VGE
R226,943
+35.87%
Net +27.83%
R308,347
+R81,404
R290,100
Fees R18,248
VBP
R227,979
+60.76%
Net +47.74%
R366,499
+R138,520
R336,820
Fees R29,680
VAG
R113,990
+13.03%
Net +9.56%
R128,842
+R14,853
R124,884
Fees R3,958
VGH
R145,078
+29.28%
Net +22.56%
R187,556
+R42,479
R177,803
Fees R9,753
Scenario capital
R10,000,000
Gross +31.84%
Net +24.61%
Illustrative gross ending value
R13,184,362
Illustrative net ending value
R12,460,823
Gross profit
R3,184,362
Illustrative fee deductions
R723,539
Strategy
Allocation
Return
Gross
Net
VGS
R1,554,404
+22.41%
Net +17.06%
R1,902,746
+R348,342
R1,819,606
Fees R83,140
VUT
R1,305,700
+4.86%
Net +3.02%
R1,369,157
+R63,457
R1,345,149
Fees R24,007
VGE
R2,269,430
+35.87%
Net +27.83%
R3,083,475
+R814,045
R2,900,997
Fees R182,477
VBP
R2,279,793
+60.76%
Net +47.74%
R3,664,995
+R1,385,202
R3,368,196
Fees R296,799
VAG
R1,139,896
+13.03%
Net +9.56%
R1,288,425
+R148,529
R1,248,840
Fees R39,585
VGH
R1,450,777
+29.28%
Net +22.56%
R1,875,565
+R424,788
R1,778,034
Fees R97,531
Scenario capital
R50,000,000
Gross +31.84%
Net +24.61%
Illustrative gross ending value
R65,921,808
Illustrative net ending value
R62,304,113
Gross profit
R15,921,808
Illustrative fee deductions
R3,617,695
Strategy
Allocation
Return
Gross
Net
VGS
R7,772,021
+22.41%
Net +17.06%
R9,513,730
+R1,741,710
R9,098,031
Fees R415,699
VUT
R6,528,498
+4.86%
Net +3.02%
R6,845,782
+R317,285
R6,725,745
Fees R120,037
VGE
R11,347,151
+35.87%
Net +27.83%
R15,417,373
+R4,070,223
R14,504,987
Fees R912,387
VBP
R11,398,964
+60.76%
Net +47.74%
R18,324,974
+R6,926,010
R16,840,981
Fees R1,483,993
VAG
R5,699,482
+13.03%
Net +9.56%
R6,442,125
+R742,643
R6,244,200
Fees R197,924
VGH
R7,253,886
+29.28%
Net +22.56%
R9,377,824
+R2,123,938
R8,890,169
Fees R487,655

Illustrative gross and net return figures, allocation scenarios, and comparison data are provided for informational purposes only and do not represent audited live investor performance. Actual results may differ based on timing, allocations, fees, and account-specific conditions.

Comparison Sheet

Strategy comparison overview

Compare strategy profile, minimum allocation, gross returns, and illustrative net returns after the model fee assumptions. Figures are strategy-level and illustrative for decision support.

VGS

Veridion Gold Strategy

Metals CFD
YTD return
+9.03%
Total return
+22.41%
Illustrative net
+17.06%

XAUUSD — focused gold exposure with active directional management.

Min allocation
R100,000
Illustrative AUM
R15,544,041
Annual target
+16%
Risk profile
Medium
VUT

Veridion US Tech Strategy

CFD Indices
YTD return
+5.05%
Total return
+4.86%
Illustrative net
+3.02%

NAS100 — concentrated US technology index strategy with momentum focus.

Min allocation
R100,000
Illustrative AUM
R13,056,995
Annual target
+24%
Risk profile
Aggressive
VGE

Veridion Global Equity Strategy

CFD Indices
YTD return
+26.36%
Total return
+35.87%
Illustrative net
+27.83%

S&P500, US30, and GER40 — diversified developed-market equity index exposure.

Min allocation
R100,000
Illustrative AUM
R22,694,301
Annual target
+18%
Risk profile
Balanced
VBP

Veridion Balanced Portfolio

Multi-Asset CFD
YTD return
+38.06%
Total return
+60.76%
Illustrative net
+47.74%

XAUUSD, NAS100, S&P500, GER40, and US30 — balanced multi-asset blend.

Min allocation
R250,000
Illustrative AUM
R22,797,927
Annual target
+15%
Risk profile
Balanced
VAG

Veridion Aggressive Growth Portfolio

CFD Indices
YTD return
+8.98%
Total return
+13.03%
Illustrative net
+9.56%

NAS100 and GER40 — aggressive growth-oriented equity index strategy.

Min allocation
R100,000
Illustrative AUM
R11,398,964
Annual target
+25%
Risk profile
Aggressive
VGH

Veridion Gold Hedge Portfolio

Multi-Asset CFD
YTD return
+13.77%
Total return
+29.28%
Illustrative net
+22.56%

XAUUSD, NAS100, and S&P500 — gold-hedged portfolio blending growth and commodity exposure.

Min allocation
R250,000
Illustrative AUM
R14,507,772
Annual target
+17%
Risk profile
Balanced

Illustrative net return after fees uses a simplified model (1% annual management fee, 20% performance fee on positive profits) across the May 2025 – May 2026 strategy period and is not an audited realised investor return.

Structure & Trust

What underpins the Veridion platform

South African Regulatory Framework

Veridion Capital Management is in the process of being appointed as a Juristic Representative under a Category II (Discretionary FSP) licence regulated by the FSCA. Subject to the FAIS Act, applicable conduct standards, and TCF principles.

Structured Offshore Entity

International services are offered through a separately registered offshore entity for investors outside the South African regulatory perimeter.

Secure Investor Document Vault

All investor documents (statements, agreements, and KYC records) are stored and delivered through a secure, access-controlled platform with expiring signed download links.

Auditable Capital Governance

Capital requests, mandate transitions, and compliance approvals are recorded with full audit trails, status tracking, and event histories.

Regulatory & Jurisdiction Notice
Veridion Capital Management operates through distinct entities depending on investor jurisdiction and applicable law.
South African Clients

Services are provided through Veridion Capital Management (Pty) Ltd, which is being appointed as a Juristic Representative under a Category II (Discretionary FSP) licence regulated by the FSCA (FSP number pending). POPIA applies; the FAIS Act and FSCA conduct standards apply on finalisation of this appointment.

International Clients

Offshore services are offered through Veridion Capital Management Ltd, registered in Saint Vincent and the Grenadines. Not regulated by the FSCA. Eligibility subject to residency and onboarding review.

The applicable entity and regulatory framework will be confirmed during onboarding based on your residency, investment profile, and applicable law. Nothing on this website constitutes personal financial advice.

Investor Reporting

Transparent, structured, and secure

Investors receive monthly account statements delivered through a secure document vault. The investor portal provides real-time access to allocations, capital request history, and account documentation, all protected by signed access tokens and session-level authentication.

  • Monthly statements delivered to your secure document vault
  • Live investor portal with allocation and P&L visibility
  • Signed download links with expiring access tokens
  • Capital instruction history with full audit trail
  • Direct account team access for reporting queries
Investor Access

Existing investors access their account through the secure portal. New investors begin with the onboarding process. Our team will confirm suitability, applicable entity, and documentation requirements before any capital is committed.

Important Risk Notice

Capital is at risk. The value of investments can fall as well as rise. Past performance is not a reliable indicator of future results. Returns are not guaranteed and you may receive back less than you invest. Strategy information is provided for informational purposes only and does not constitute personal financial advice unless otherwise agreed in writing.