Access Private Markets
Curated alternative investments with low minimums and expert guidance—join the platform and start investing today.

About Our Platform
We connect individual investors to curated private market opportunities through rigorous diligence, low minimums, and expert guidance, delivering transparent processes, institutional partners, and intuitive tools that make alternative investing accessible and understandable.
How the Platform Works
Understand the end-to-end journey from registration to allocation, designed for clarity, control, and confidence at every step.

Investment Offerings

Explore vetted opportunities across private credit, venture secondaries, and institutional real estate curated for diversified, long-term portfolios.
- Private Credit Opportunities Access senior secured loans, asset-backed facilities, and specialty finance strategies sourced from established managers with repeatable underwriting processes. Review collateral coverage, covenant structures, and expected yield profiles, alongside scenario analyses that illuminate downside protections, default workflows, and portfolio concentration thresholds designed to manage risk prudently.
- Venture Secondaries Participate in diversified pools acquiring interests from earlier venture rounds at negotiated discounts. Evaluate company maturity, sector exposure, and liquidity pathways, supported by data on cap table dynamics, exit timelines, co-investor quality, and governance rights that can influence recovery, upside capture, and volatility during changing market conditions.
- Institutional Real Estate Invest in core, value-add, and opportunistic real estate managed by experienced sponsors. Examine market fundamentals, leasing pipelines, sponsor alignment, and capital improvement plans, with detailed underwriting models, sensitivity tables, and risk controls regarding interest rates, occupancy, operating expenses, and sale assumptions across diverse regions and property types.

Manager Selection Framework
We evaluate track records, team composition, decision-making culture, and incentive alignment using a consistent rubric. Structured interviews, reference checks, and attribution studies help separate skill from luck, while operational reviews assess infrastructure, compliance history, third-party service providers, and contingency planning for resilient execution across market cycles.

Deal Screening and Risk Scoring
Every offering undergoes standardized risk scoring that considers leverage, liquidity, concentration, governance, and macro sensitivity. We triangulate manager materials with independent data, stress-test key variables, and document thesis breakpoints, producing concise memos that explain potential return drivers, meaningful risks, and the conditions under which capital may be impaired.

Ongoing Monitoring and KPIs
After allocation, we track performance metrics, operating updates, covenant compliance, and exceptions. Quarterly reviews include variance analyses versus underwriting, changes in market context, and any corrective actions, ensuring early visibility into emerging risks and transparent communication through timely reports, dashboards, and investor notifications within your account.

Low Minimums and Fractional Access
Start with accessible commitments and build diversified exposure using fractional access to institutional-caliber opportunities.
Learn MoreFees and Transparency
Know exactly what you pay and why, with line-item clarity and straightforward disclosures.
Platform Pricing and Fees
We present platform fees in a simple schedule, separating membership, transaction, and advisory components when applicable. You will see costs before committing, including any minimum charges, timing of accruals, and billing cadence, ensuring there are no surprises and fees remain proportional to the services used.
Underlying Fund Expenses
Underlying manager fees and expenses are disclosed prominently, including management fees, performance incentives, organizational costs, and administrative provisions. We summarize net-of-fee return expectations, hurdle structures, clawback protections, and expense caps where relevant, so you can compare offerings on a like-for-like, economically meaningful basis.
Performance and Reporting Access
Access consolidated statements, capital account summaries, and detailed fund reports within your dashboard. We highlight realized and unrealized components, cash movements, and performance drivers with explanatory notes, enabling you to trace results back to underlying positions and understand how fees and market conditions shaped outcomes.

Risk and Suitability
Align opportunities with your objectives, constraints, and tolerance for risk before committing capital.
Investor Eligibility and Accreditation
Eligibility requirements depend on jurisdiction and vehicle type. Our guided flow helps determine accreditation status using income, net worth, or professional criteria, and provides documentation templates where appropriate, ensuring you engage only with offerings suitable for your profile and regulatory environment.
Risk Factors and Scenario Analysis
We summarize material risks, including illiquidity, valuation uncertainty, leverage, concentration, and macro exposure. Scenario analysis examines downside cases, delayed exits, and stress events, clarifying how sensitivities can impact cash flows, return timing, and principal, so you can make informed, risk-aware allocation decisions.
Diversification Considerations
Educational materials illustrate how spreading commitments across strategies, vintages, and managers can reduce idiosyncratic risk. We show example allocation frameworks and sequencing plans that emphasize pacing, rebalancing, and prudent position sizes while recognizing that diversification does not eliminate loss potential or guarantee performance.
Education and Resources
Build knowledge with structured content designed for clarity, depth, and practical application.
Expert Guidance
Gain confidence through access to specialists, committees, and responsive support.
Portfolio Consultations with Specialists
Schedule one-on-one sessions to discuss objectives, constraints, and pacing considerations. Specialists explain offering differences, review diversification goals, and help identify educational materials for further study, providing context and clarity without making personalized investment recommendations or directing specific purchase or sale decisions.
Investment Committee Insights
Read summaries of committee perspectives on strategy selection, risk themes, and market signals. These notes highlight what drove approvals, where caution is warranted, and which metrics will be monitored, offering transparency into the reasoning behind curated opportunities without disclosing confidential or proprietary information.
Responsive Support Team
Our support team resolves account, funding, and document questions quickly through chat, email, and scheduled calls. Clear help articles, consistent ticket follow-up, and collaborative handoffs ensure issues are handled efficiently, keeping your onboarding and allocation timelines moving without unnecessary friction or confusion.
Technology and Security
Rely on infrastructure built for reliability, privacy, and institutional-grade protection.
Encryption and Data Protection
All sensitive data is encrypted in transit and at rest, with strict access controls, audit trails, and role-based permissions. We regularly test systems, monitor for anomalies, and follow secure development practices to safeguard identity documents, financial information, and signed agreements end to end.
Custody, Brokerage, and Administration
We partner with established custodians, administrators, and brokers to handle cash, positions, statements, and corporate actions. Segregated accounts, reconciliation routines, and independent oversight provide operational resilience, while standardized reporting ensures your records remain consistent, complete, and accessible across the investment lifecycle.
Compliance, Audits, and Records
Compliance controls include robust recordkeeping, retention policies, and third-party reviews. Periodic audits and monitoring programs validate processes, and we maintain clear escalation pathways for exceptions, helping ensure regulatory alignment, operational discipline, and timely resolution of any issues that may arise.



Regional Availability and Regulations
Access is tailored to local rules, supported by clear guidance on jurisdictional requirements.
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Offering availability depends on your country or state of residence, product structure, and regulatory permissions. We display eligibility upfront, restrict ineligible offerings, and provide guidance on alternative pathways where possible, helping you find opportunities that match your location and legal framework.
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Our verification process follows robust Know Your Customer and Anti-Money Laundering standards. We collect required identification, verify sources of funds as necessary, and screen against relevant lists, balancing regulatory obligations with an efficient, privacy-conscious workflow that minimizes friction while maintaining strong safeguards.
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We provide access to applicable tax forms, withholding details, and timelines for delivery. Educational resources explain cross-border tax implications, reporting obligations, and where professional advice may be necessary, so you can prepare documentation and coordinate with your advisors before important filing deadlines.
Performance and Benchmarks
Interpret results responsibly with context, comparisons, and limitations clearly stated.
Community and Updates
Stay informed and connected through forums, announcements, and a transparent product roadmap.
Investor Community and Discussions
Participate in moderated discussions that encourage thoughtful questions and knowledge sharing. Topic threads cover education, platform features, and market themes, with clear guidelines to keep conversations constructive, factual, and free from solicitations or personalized advice that could mislead readers.
Deal Updates and Notices
Receive timely updates on fundraising status, document availability, capital calls, and distributions. Notifications summarize changes succinctly and link to primary materials for deeper review, ensuring you remain current on milestones, deadlines, and important operational details across your portfolio.
Product Roadmap and Feedback
Track upcoming features, pilot programs, and release notes. Provide feedback through surveys and beta participation, helping us prioritize improvements that enhance usability, reporting clarity, and access to opportunities, while maintaining the diligence standards and controls you expect from an investing platform.
Starter Access
Explore live offerings, read diligence summaries, and use basic portfolio tracking with standard support and community access. Ideal for learning the platform and understanding private markets before committing larger allocations.
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Core Investor
Unlock full marketplace access, allocation tools, model comparisons, webinar recordings, and priority email support. Designed for active allocators seeking diversified exposure, clear reporting, and timely updates across multiple strategies and managers.
/month
Advisory Plus
Add scheduled consultations with specialists, priority allocations when available, enhanced statements, and assistance coordinating documents for tax professionals. Best for investors who value deeper context, faster responses, and elevated service across the investment lifecycle.
9/month

Getting Started Today
Open your account, complete verification, and place your first commitment with guided steps and helpful reminders.
Create Your Profile
Register with essential details and choose notification preferences. The onboarding checklist highlights next steps, estimates completion time, and consolidates tasks into a simple flow, helping you move from signup to verified status without confusion or unnecessary back-and-forth.
Verify and Fund
Upload identity documents, complete accreditation, and connect your bank. Funding instructions adapt to your region and preferred method, with status tracking and alerts that confirm when funds are available for commitments or scheduled capital calls.
Review and Commit
Explore curated offerings, read diligence notes, and compare terms. When ready, initiate a commitment, sign documents electronically, and receive confirmation instantly, with clear timelines for funding, reporting cadence, and expected next communications from managers and administrators.
Support and Documentation
Find answers quickly through searchable help, document vaults, and structured guidance.
Help Center and Tutorials
Our help center provides step-by-step tutorials covering onboarding, funding, commitments, and reporting. Short videos and annotated screenshots walk through processes, reducing errors and accelerating your path to placing allocations with confidence and efficiency.

Document Vault
Access signed agreements, statements, tax forms, and manager reports in a secure, organized repository. Advanced search, filters, and tags help you quickly locate specific files, while download logs and version histories maintain control and visibility over your records.
