Trusted by experienced investors seeking clarity, control, and performance without compromise.

Trusted by experienced investors seeking clarity,

control, and performance without compromise.

Automated Investing For The Data Driven Investor

Trusted by experienced investors seeking clarity, control, and performance without compromise.

Automated Investing For The Data
Driven Investor

Suisse Capital Group offers high-net-worth investors access to institutional-grade, algorithmic strategies designed for resilience, risk control, and long-term capital preservation.

Harness The Liquidity Pool Of Our Institutional Partners:

Complete Portfolio Transparency

Complete Portfolio Transparency

Complete Portfolio Transparency

Monitor capital, performance, and risk metrics in real time — across all strategies. Designed for experienced investors who value control, transparency, and complete visibility into their holdings.

Why Experienced Investors Choose
Suisse Capital Group

Why Experienced Investors
Choose Suisse Capital Group

Sustained Outperformance,
Without Excess Risk Exposure

Over the past six years, our portfolio strategies have delivered an average annual return of 54.96%, significantly outperforming traditional assets like the S&P 500 (12.2%), Gold (8.4%), Fine Art (4.6%), and UK Property (4.2%).

*Returns reflect the average annual performance of Suisse Capital Group’s strategies over the past six years. Past performance is not indicative of future results.

*Returns are based on performance over a five-year period, reflecting comparisons to our SC245 strategy.

*Returns are based on performance over a five-year period, reflecting comparisons to our SC245 strategy.

6-Year Average Annual Performance

Suisse Capital Portfolio*

Suisse Capital Portfolio*

54.96%

54.96%

S&P 500

S&P 500

12.20%

12.20%

Gold

Gold

8.40%

8.40%

Fine Art

Fine Art

4.60%

4.60%

UK Property

UK Property

4.20%

4.20%

FCA-Regulated Partners

London & Eastern LLP is authorised and regulated by the Financial Conduct Authority in the UK, ref 534484. Registered address: 85 Great Portland Street, First Floor, London, W1 W7LT

London & Eastern LLP is regulated by the Financial Conduct Authority.

How We Generate Returns Without Guesswork

How We Generate Returns
Without Guesswork

Our investment process is built on years of research into market behavior, sentiment flows, and systemic inefficiencies — not headlines or human instinct. Rather than predict markets, our models respond to recurring patterns with precision, applying tested frameworks and strict risk controls to minimize downside and compound capital over time. The result is a repeatable, unemotional approach that removes guesswork — and puts the investor firmly back in control.

AI

AI

AI

Various Models

Various Models

Years of Data Accumulation

Years of Data Accumulation

Robust Framework

Robust Framework

Extensive Sentiment Data

Extensive Sentiment Data

Detect Patterns

Detect Patterns

Presence in Geneva’s Financial District

Committee Located in Geneva

Suisse Capital Group maintains a strategic base at the Rhône 8 building, Rue du Commerce 4—an address shared by institutions such as UBS and Société Générale. Located in the heart of Geneva’s financial district, this presence underscores our alignment with institutional finance and international accessibility.

Onboarding for Investors

Onboarding
for Investors

Onboarding for Investors

Our onboarding process is designed for experienced investors who value clarity, control, and personalisation. From registration to allocation, each step is transparent — and if desired, supported by direct access to our team for strategy walkthroughs, risk discussions, and detailed answers.

Our onboarding process is designed for experienced investors who value clarity, control, and personalisation. From registration to allocation, each step is transparent — and if desired, supported by direct access to our team for strategy walkthroughs, risk discussions, and detailed answers.

Step 1:

Account Registration

Begin by creating an account on our Investor Dashboard. This platform is designed to provide you with a seamless and secure investment experience.

Step 2:

Select Your Strategy

Browse through our diverse range of Strategies. Each strategy has detailed descriptions to help you understand its focus and performance history, ensuring you make an informed decision that aligns with your investment goals.

Step 3:

Application Submission

Once you’ve chosen your strategy, complete and submit your application directly through the dashboard. This step involves verifying your details and setting up your investment preferences.

Step 4:

Investment

After your application is approved, you can proceed to invest. Our platform offers straightforward options for transferring funds, allowing you to start capitalising on your chosen investment strategy without delay.

Select a Strategy

Risk-adjusted strategies built for preservation, income, or growth*

Risk-adjusted strategies built for preservation, income, or growth*

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X3X

Factsheet

Factsheet

A precision-built model allocating across 30+ uncorrelated systems in FX and commodities. X3X has delivered a 72.40% 12-month return, 100% winning months, and a Sharpe ratio of 8.37 — all with a measured -14.20% drawdown.

Minimum Investment

i

$100,000

Total Cumulative Return

i

281.00%

12 Month ROI

i

72.40%

Historical Max. Drawdown

i

-14.20%

Historical Monthly Avg.

i

5.30%

Sharpe Ratio

i

8.37

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X3X

Factsheet

A precision-built model allocating across 30+ uncorrelated systems in FX and commodities. X3X has delivered a 72.40% 12-month return, 100% winning months, and a Sharpe ratio of 8.37 — all with a measured -14.20% drawdown.

Minimum Investment

i

$100,000

Total Cumulative Return

i

281.00%

12 Month ROI

i

72.40%

Historical Max. Drawdown

i

-14.20%

Historical Monthly Avg.

i

5.30%

Sharpe Ratio

i

8.37

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X3X

Factsheet

A precision-built model allocating across 30+ uncorrelated systems in FX and commodities. X3X has delivered a 72.40% 12-month return, 100% winning months, and a Sharpe ratio of 8.37 — all with a measured -14.20% drawdown.

Minimum Investment

i

$100,000

Total Cumulative Return

i

281.00%

12 Month ROI

i

72.40%

Historical Max. Drawdown

i

-14.20%

Historical Monthly Avg.

i

5.30%

Sharpe Ratio

i

8.37

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X-XGB

Factsheet

Factsheet

A cross-asset model deploying capital across FX, commodities, and crypto via 20 intelligent subsystems. X-XGB delivered a 57.40% return over 12 months, a Sharpe ratio of 5.30, and 4.59% average monthly gains — all with a controlled -15.49% drawdown. Built for investors seeking performance beyond equities.

Minimum Investment

i

$100,000

Total Cumulative Return

i

80.94%

12 Month ROI

i

57.40%

Historical Max. Drawdown

i

-15.49%

Historical Monthly Avg.

i

3.81%

Sharpe Ratio

i

5.30

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X-XGB

Factsheet

A cross-asset model deploying capital across FX, commodities, and crypto via 20 intelligent subsystems. X-XGB delivered a 57.40% return over 12 months, a Sharpe ratio of 5.30, and 4.59% average monthly gains — all with a controlled -15.49% drawdown. Built for investors seeking performance beyond equities.

Minimum Investment

i

$100,000

Total Cumulative Return

i

80.94%

12 Month ROI

i

57.40%

Historical Max. Drawdown

i

-15.49%

Historical Monthly Avg.

i

3.81%

Sharpe Ratio

i

5.30

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X-XGB

Factsheet

A cross-asset model deploying capital across FX, commodities, and crypto via 20 intelligent subsystems. X-XGB delivered a 57.40% return over 12 months, a Sharpe ratio of 5.30, and 4.59% average monthly gains — all with a controlled -15.49% drawdown. Built for investors seeking performance beyond equities.

Minimum Investment

i

$100,000

Total Cumulative Return

i

80.94%

12 Month ROI

i

57.40%

Historical Max. Drawdown

i

-15.49%

Historical Monthly Avg.

i

3.81%

Sharpe Ratio

i

5.30

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X-XKR

Factsheet

Factsheet

An adaptive multi-asset model allocating across 14 FX and commodity subsystems. X-XKR has delivered a 55.80% 12-month return, 95.83% winning months, and a Sharpe ratio of 7.03 — with a -15.32% drawdown and 4.75% average monthly gains. Built for resilient performance across changing markets.

Minimum Investment

i

$100,000

Total Cumulative Return

i

191.00%

12 Month ROI

i

52.01%

Historical Max. Drawdown

i

-15.32%

Historical Monthly Avg.

i

4.48%

Sharpe Ratio

i

6.89

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X-XKR

Factsheet

An adaptive multi-asset model allocating across 14 FX and commodity subsystems. X-XKR has delivered a 55.80% 12-month return, 95.83% winning months, and a Sharpe ratio of 7.03 — with a -15.32% drawdown and 4.75% average monthly gains. Built for resilient performance across changing markets.

Minimum Investment

i

$100,000

Total Cumulative Return

i

191.00%

12 Month ROI

i

52.01%

Historical Max. Drawdown

i

-15.32%

Historical Monthly Avg.

i

4.48%

Sharpe Ratio

i

6.89

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X-XKR

Factsheet

An adaptive multi-asset model allocating across 14 FX and commodity subsystems. X-XKR has delivered a 55.80% 12-month return, 95.83% winning months, and a Sharpe ratio of 7.03 — with a -15.32% drawdown and 4.75% average monthly gains. Built for resilient performance across changing markets.

Minimum Investment

i

$100,000

Total Cumulative Return

i

191.00%

12 Month ROI

i

52.01%

Historical Max. Drawdown

i

-15.32%

Historical Monthly Avg.

i

4.48%

Sharpe Ratio

i

6.89

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X245

Factsheet

Factsheet

A high-frequency EUR/USD model built for precision and liquidity. X245 uses proprietary scalping algorithms with ATR-based adjustments, delivering a 76.13% return over 12 months, 98.04% winning months, and a 7.09% average monthly gain — all with a contained -12.74% drawdown.

Minimum Investment

i

$100,000

Total Cumulative Return

i

2395.32%

12 Month ROI

i

76.13%

Historical Max. Drawdown

i

-12.74%

Historical Monthly Avg.

i

6.14%

Sharpe Ratio

i

3.55

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X245

Factsheet

A high-frequency EUR/USD model built for precision and liquidity. X245 uses proprietary scalping algorithms with ATR-based adjustments, delivering a 76.13% return over 12 months, 98.04% winning months, and a 7.09% average monthly gain — all with a contained -12.74% drawdown.

Minimum Investment

i

$100,000

Total Cumulative Return

i

2395.32%

12 Month ROI

i

76.13%

Historical Max. Drawdown

i

-12.74%

Historical Monthly Avg.

i

6.14%

Sharpe Ratio

i

3.55

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X245

Factsheet

A high-frequency EUR/USD model built for precision and liquidity. X245 uses proprietary scalping algorithms with ATR-based adjustments, delivering a 76.13% return over 12 months, 98.04% winning months, and a 7.09% average monthly gain — all with a contained -12.74% drawdown.

Minimum Investment

i

$100,000

Total Cumulative Return

i

2395.32%

12 Month ROI

i

76.13%

Historical Max. Drawdown

i

-12.74%

Historical Monthly Avg.

i

6.14%

Sharpe Ratio

i

3.55

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X-Guardian

Factsheet

Factsheet

A high-conviction FX model with real-time recalibration and probabilistic entries. X-Guardian delivered a 46.65% return in 2024, 100% winning months, and a Sharpe ratio of 4.87 — with 3.76% average monthly gains and a -14.94% drawdown. Built for consistency, not aggression.

Minimum Investment

i

$100,000

Total Cumulative Return

i

259.24%

12 Month ROI

i

46.65%

Historical Max. Drawdown

i

-14.94%

Historical Monthly Avg.

i

3.76%

Sharpe Ratio

i

4.87

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X-Guardian

Factsheet

A high-conviction FX model with real-time recalibration and probabilistic entries. X-Guardian delivered a 46.65% return in 2024, 100% winning months, and a Sharpe ratio of 4.87 — with 3.76% average monthly gains and a -14.94% drawdown. Built for consistency, not aggression.

Minimum Investment

i

$100,000

Total Cumulative Return

i

259.24%

12 Month ROI

i

46.65%

Historical Max. Drawdown

i

-14.94%

Historical Monthly Avg.

i

3.76%

Sharpe Ratio

i

4.87

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X-Guardian

Factsheet

A high-conviction FX model with real-time recalibration and probabilistic entries. X-Guardian delivered a 46.65% return in 2024, 100% winning months, and a Sharpe ratio of 4.87 — with 3.76% average monthly gains and a -14.94% drawdown. Built for consistency, not aggression.

Minimum Investment

i

$100,000

Total Cumulative Return

i

259.24%

12 Month ROI

i

46.65%

Historical Max. Drawdown

i

-14.94%

Historical Monthly Avg.

i

3.76%

Sharpe Ratio

i

4.87

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X44

Factsheet

Factsheet

An adaptive diversification model spanning 44 FX and commodity subsystems. X44 delivered a 27.85% 12-month return, a Sharpe ratio of 5.82, and 5.97% average winning months — with a controlled -14.88% drawdown. Designed for long-term, risk-aware compounding.

Minimum Investment

i

$100,000

Total Cumulative Return

i

805.40%

12 Month ROI

i

27.85%

Historical Max. Drawdown

i

-14.88%

Historical Monthly Avg.

i

5.08%

Sharpe Ratio

i

5.82

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X44

Factsheet

An adaptive diversification model spanning 44 FX and commodity subsystems. X44 delivered a 27.85% 12-month return, a Sharpe ratio of 5.82, and 5.97% average winning months — with a controlled -14.88% drawdown. Designed for long-term, risk-aware compounding.

Minimum Investment

i

$100,000

Total Cumulative Return

i

805.40%

12 Month ROI

i

27.85%

Historical Max. Drawdown

i

-14.88%

Historical Monthly Avg.

i

5.08%

Sharpe Ratio

i

5.82

100%

75%

50%

25%

0

Jun 2024

Oct 2024

Feb 2025

Jun 2025

X44

Factsheet

An adaptive diversification model spanning 44 FX and commodity subsystems. X44 delivered a 27.85% 12-month return, a Sharpe ratio of 5.82, and 5.97% average winning months — with a controlled -14.88% drawdown. Designed for long-term, risk-aware compounding.

Minimum Investment

i

$100,000

Total Cumulative Return

i

805.40%

12 Month ROI

i

27.85%

Historical Max. Drawdown

i

-14.88%

Historical Monthly Avg.

i

5.08%

Sharpe Ratio

i

5.82

Past performance is no guarantee of future returns.

The Suisse Capital Edge

The Suisse
Capital Edge

Suisse Capital Group differentiates itself by combining advanced algorithmic trading with a bespoke client experience. We provide a strategic partnership that integrates cutting-edge technology with the acumen of seasoned investment professionals. This dual approach empowers retail investors to achieve exceptional results in a competitive market landscape.

Suisse Capital Group differentiates itself by combining advanced algorithmic trading with a bespoke client experience. We provide a strategic partnership that integrates cutting-edge technology with the acumen of seasoned investment professionals. This dual approach empowers retail investors to achieve exceptional results in a competitive market landscape.

Investment Vehicle

Investment Vehicle

Investment Vehicle

Minimum Investment

Minimum Investment

Minimum Investment

$100,000,000

$100,000,000

$100,000,000

$10,000,000

$10,000,000

$10,000,000

$100,000

$100,000

$100,000

Fee Structure

Fee Structure

Fee Structure

Performance & Management

Performance & Management

Performance & Management

Performance & Management

Performance & Management

Performance & Management

Performance

Performance

Performance

Management Fee

Management Fee

Management Fee

2% annually

2% annually

2% annually

2% annually

2% annually

2% annually

None

None

None

Average Annual Performance

Average Annual Performance

Average Annual Performance

11.4%

11.4%

19.4%

19.4%

19.4%

54.96%

54.96%

54.96%

i

Discretionary or Quantitative

Discretionary or Quantitative

Discretionary or Quantitative

Discretionary

Discretionary

Discretionary

Discretionary

Discretionary

Both

Both

Both

No Holding Periods

No Holding Periods

No Holding Periods

No Early Withdrawal Fees

No Early Withdrawal Fees

No Early Withdrawal Fees

Dedicated Team of Humans

Dedicated Team of Humans

Dedicated Team of Humans

Past performance is no guarantee of future returns.

FAQ

Frequently
Asked Questions

Frequently
Asked Questions

Who are we, and what services does Suisse Capital Group provide?

How does the investment process with Suisse Capital Group operate?

How do Suisse Capital Group’s algorithms manage trading?

What are the benefits of investing with Suisse Capital Group?

What is the minimum investment required?

How secure is my investment?

How can I track my returns?

How long should I invest for optimal returns?

Who are we, and what services does Suisse Capital Group provide?

How does the investment process with Suisse Capital Group operate?

How do Suisse Capital Group’s algorithms manage trading?

What are the benefits of investing with Suisse Capital Group?

What is the minimum investment required?

How secure is my investment?

How can I track my returns?

How long should I invest for optimal returns?

L&E LLP

Help

Help

Help

*All performance data presented on our website is current as of March 31st, 2025. For the latest monthly performance updates, please refer to our factsheets which are updated monthly.

Address

Geneva, Switzerland


Rue du Commerce 4


Rhône 8 Building 2nd Floor

1204 Geneva, Switzerland


© 2025, Suisse Capital Group

Risk Warning

CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. According to industry data, up to 72.5% of retail investor accounts lose money when trading CFDs. You should ensure you understand how CFDs work and whether you can afford to take the high risk of losing your money.. Learn more

Regulation

For the avoidance of doubt, Suisse Capital Group is not independently regulated by the FCA. Suisse Capital Group is a ‘Strategy Provider' to Pelican Trading. Pelican Trading is a trading name of London & Eastern LLP. London & Eastern LLP is authorised and regulated by the Financial Conduct Authority in the UK, ref 534484. Registered address: 78 York Street, W1H 1DP, London. Suisse Capital Group is a brand operated by SCG Strategies LLC, incorporated in the United States.

Custody of Funds

At Suisse Capital Group, we prioritise the security of our clients' investments. While we do not manage funds directly through pooled accounts, we ensure that your assets are safeguarded in accordance with industry standards and regulatory requirements. Learn more

*All performance data presented on our website is current as of March 31st, 2025. For the latest monthly performance updates, please refer to our factsheets which are updated monthly.

Address

Geneva, Switzerland


Rue du Commerce 4


Rhône 8 Building 2nd Floor

1204 Geneva, Switzerland


© 2025, Suisse Capital Group

Risk Warning

CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. According to industry data, up to 72.5% of retail investor accounts lose money when trading CFDs. You should ensure you understand how CFDs work and whether you can afford to take the high risk of losing your money.. Learn more

Regulation

For the avoidance of doubt, Suisse Capital Group is not independently regulated by the FCA. Suisse Capital Group is a ‘Strategy Provider' to Pelican Trading. Pelican Trading is a trading name of London & Eastern LLP. London & Eastern LLP is authorised and regulated by the Financial Conduct Authority in the UK, ref 534484. Registered address: 78 York Street, W1H 1DP, London. Suisse Capital Group is a brand operated by SCG Strategies LLC, incorporated in the United States.

Custody of Funds

At Suisse Capital Group, we prioritise the security of our clients' investments. While we do not manage funds directly through pooled accounts, we ensure that your assets are safeguarded in accordance with industry standards and regulatory requirements. Learn more

*All performance data presented on our website is current as of March 31st, 2025. For the latest monthly performance updates, please refer to our factsheets which are updated monthly.

Address

Geneva, Switzerland


Rue du Commerce 4


Rhône 8 Building 2nd Floor

1204 Geneva, Switzerland


© 2025, Suisse Capital Group

Risk Warning

CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. According to industry data, up to 72.5% of retail investor accounts lose money when trading CFDs. You should ensure you understand how CFDs work and whether you can afford to take the high risk of losing your money.. Learn more

Regulation

For the avoidance of doubt, Suisse Capital Group is not independently regulated by the FCA. Suisse Capital Group is a ‘Strategy Provider' to Pelican Trading. Pelican Trading is a trading name of London & Eastern LLP. London & Eastern LLP is authorised and regulated by the Financial Conduct Authority in the UK, ref 534484. Registered address: 78 York Street, W1H 1DP, London. Suisse Capital Group is a brand operated by SCG Strategies LLC, incorporated in the United States.

Custody of Funds

At Suisse Capital Group, we prioritise the security of our clients' investments. While we do not manage funds directly through pooled accounts, we ensure that your assets are safeguarded in accordance with industry standards and regulatory requirements. Learn more