⚡️ Introduction

Problem

Investing in traditional hedge funds comes with significant uncertainty and minimal visibility. Investors generally receive updates only once per quarter—sometimes every six or twelve months. By the time you learn whether the fund is profitable or losing money, it may already be too late to withdraw.

Worse, investors often have no way to verify whether the fund is actually trading, whether reports are accurate, or whether new deposits are merely being used to pay earlier investors—creating a structure that resembles a Ponzi scheme.

On top of that, many hedge funds publish “technical explanations” of their strategy that sound sophisticated but reveal nothing. If they describe too little, you don’t understand it. If they describe too much, they expose their edge. The truth is: those technical explanations are usually there to overwhelm you, not to educate you.

Solution

At 3e5 Capital, we do the opposite.

You deposit funds, and we provide weekly profit payouts and reporting, offering full clarity on performance. If at any time you feel the performance is not satisfactory or market conditions are unfavorable, you may withdraw at the end of any week and later redeploy when conditions improve.

Our trading engine is powered by advanced AI-driven trading bots, but we do not publish the detailed internal logic of these bots—because:

Therefore, instead of giving vague terminology or complex diagrams (like many funds do), we provide transparent, verifiable trading history, allowing you to judge our performance from actual results.

To understand exactly how we prove the authenticity of every trade without revealing our strategy, continue reading below.


⚡️ Simplified Explanation (For Non-Technical Readers)

To make the trading history trustworthy without exposing real-time strategy, we use a simple idea:

Imagine every trade is placed inside a sealed envelope.

We show everyone the sealed envelope today.

Seven days later, we open it in public.

That’s the whole concept.