Access to primary-market allocations in US, European and Asian listings, including selected direct listings and de-SPAC transactions. Allocations are distributed pro rata against a published scaling policy, with no preferential treatment.
Syndicate relationships across US, EU and APAC bookrunners give retail-accessible tranches in listings that are usually institution-only.
When a book is oversubscribed, allocations scale pro rata against subscription size and account tenure — the policy is published before books open.
Prospectus, price range, use of proceeds, lock-up terms and comparable-company analysis provided for every deal.
Allocated shares settle directly into your Trading Gate AG account on the listing date and are tradable from the opening auction.
Professionally managed digital-asset mandates that go beyond buy-and-hold. Allocations are rebalanced against liquidity and volatility regimes, with staking yield captured where it does not compromise custody or redemption terms.
Allocate capital to vetted trading managers through a percentage allocation management module. Every trade is mirrored proportionally into your sub-account in real time, and you keep custody of your funds throughout.
A discretionary multi-asset mandate run by the Trading Gate AG investment committee. Portfolios are constructed around your risk budget, liquidity needs and constraints, then managed continuously with formal quarterly reviews.