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Rating Index

Pros

High leverage options up to 1:500, allowing traders to maximize their potential returns.
Variety of account types catering to different trading styles, including zero-commission options.
Access to a wide range of trading instruments, including forex, cryptocurrencies, indices, and commodities.

Cons

Lack of valid regulatory information, which may raise concerns about the safety and security of funds.
High minimum deposit requirements for certain account types, which may not be accessible for all traders.
Limited customer support availability, potentially affecting assistance during critical trading times.

Xonic Capital Company

Axonic Capital Company: A Comprehensive Overview

1. Company Overview

Founding Date and Background

Axonic Capital was founded in 2010 by Clayton De Giacinto. The firm is focused on asset management, particularly in the realms of real estate and structured credit investments. With nearly a decade of experience in the financial sector, Axonic has established itself as a reputable player in the investment management landscape.

Parent Company/Ownership Structure

Axonic Capital operates as an independent asset management firm, structured as a limited liability company under Delaware law. It is not a subsidiary of a larger parent company, allowing it to maintain a focused approach to its investment strategies and client relationships.

Headquarters Location

The company is headquartered in New York City, a global financial hub that provides access to a wide range of investment opportunities and resources.

Global Business Scope

Axonic Capital primarily operates in the United States but has a global reach through its investment strategies. The firm manages capital across various structured credit strategies and real estate investments, catering to a diverse clientele.

Main Regulatory Bodies

Axonic Capital is regulated by several financial authorities, including the Securities and Exchange Commission (SEC) in the United States. This oversight ensures that the firm adheres to industry standards and provides a level of security and trust for its clients.

2. Company History and Development

Key Milestones

  • 2010: Axonic Capital was founded, marking its entry into the asset management industry.
  • 2011: The firm began managing its first fund, focusing on structured credit investments.
  • 2015: Axonic reached a significant milestone by surpassing $1 billion in assets under management (AUM).
  • 2020: The firm expanded its investment strategies to include a broader range of real estate assets.

Business Expansion Journey

Since its inception, Axonic Capital has pursued a strategy of steady growth, expanding its investment offerings and increasing its AUM. The firm's focus on structured credit and real estate has allowed it to tap into lucrative market opportunities, contributing to its overall growth trajectory.

Customer Base Growth

Axonic has steadily grown its customer base, attracting institutional and high-net-worth investors seeking alternative investment strategies. The firm's reputation for transparency and performance has been a significant factor in its ability to attract and retain clients.

Platform Development History

Over the years, Axonic has developed a robust investment platform that integrates advanced analytics and risk management tools. This platform enables the firm to make informed investment decisions and optimize its portfolio performance.

Important Awards or Recognitions Received

Axonic Capital has received various industry accolades for its performance and innovation in asset management. These recognitions underscore the firm's commitment to excellence and its position as a leader in the investment management sector.

3. Trading Services Offered

Forex Trading Options

Axonic Capital offers a range of forex trading options, providing access to numerous currency pairs. This diversity allows clients to engage in global currency markets, facilitating effective hedging and speculative strategies.

Stock Trading Options

The firm provides access to a variety of stocks, enabling clients to diversify their portfolios across different sectors and industries. This includes both domestic and international equities.

CFD Trading Products

Axonic Capital also offers contracts for difference (CFDs), allowing clients to trade on price movements of various assets without owning the underlying instruments. This includes equities, commodities, and indices.

Other Financial Instruments

In addition to traditional trading options, Axonic Capital provides access to cryptocurrencies and commodities. This breadth of offerings allows clients to engage in various asset classes, enhancing their investment strategies.

Special Services or Unique Advantages

Axonic Capital distinguishes itself through its focus on structured credit strategies and real estate investments. The firm leverages its expertise in these areas to provide tailored investment solutions that meet the unique needs of its clients.

Detailed Regulatory Information

Axonic Capital is regulated by the following bodies:

  • Securities and Exchange Commission (SEC): Ensures compliance with U.S. securities laws.
  • Financial Industry Regulatory Authority (FINRA): Oversees brokerage firms and exchange markets.
  • Commodity Futures Trading Commission (CFTC): Regulates futures and options markets.

Axonic operates as a limited liability company in the United States, allowing for a flexible and efficient structure that supports its investment activities.

Client Fund Protection Measures

The firm implements robust client fund protection measures, including segregation of client funds and adherence to regulatory requirements. This ensures that client assets are safeguarded against potential risks.

Countries/Regions Served

While primarily focused on the U.S. market, Axonic Capital also serves international clients, providing access to global investment opportunities.

Compliance History

Axonic Capital has maintained a strong compliance record, adhering to industry regulations and standards. This commitment to compliance helps foster trust and confidence among its clients.

5. Competitive Landscape

3-5 Main Competitors

Axonic Capital competes with several prominent firms in the asset management space, including:

  • BlackRock: A global leader in investment management with a diverse product offering.
  • PIMCO: Specializes in fixed income investments and has a strong reputation in the bond market.
  • KKR: Known for its private equity and credit strategies, KKR has a significant presence in alternative investments.

Positioning in the Industry

Axonic Capital positions itself as a specialized asset manager with a focus on structured credit and real estate. This niche strategy allows the firm to differentiate itself from larger, more diversified competitors.

Market Differentiation Factors

Key factors that differentiate Axonic Capital in the market include its specialized expertise in structured credit, a strong compliance culture, and a commitment to transparency and client service. These attributes contribute to the firm's reputation and success in attracting and retaining clients.

In conclusion, Axonic Capital stands out as a robust player in the asset management industry, with a clear focus on structured credit and real estate investments. Its commitment to compliance, client protection, and innovative investment strategies makes it a compelling choice for investors seeking alternative investment opportunities.

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