Crownstone Investments is a brand focused on strategy-driven, risk-managed and transparent investing.
Crownstone Investments is an investment brand designed to make market-based investing more approachable and transparent. The content on this website is factual placeholder content: we do not claim any specific length of operating history, regulatory authorization, physical offices, assets under management, partnerships, or awards. Any such details will be added only once they are real, verifiable, and appropriately disclosed.
Our approach centers on defined, market-based strategies rather than speculation or hype. We aim to describe each investment plan clearly — what it is intended to do, the general strategy behind it, and the associated risks — so that investors can make informed decisions. Expected returns are always presented as estimates or targets, never as guarantees.
We believe risk management is the foundation of responsible investing. That means setting clear risk parameters, communicating potential downside honestly, and never presenting investing as a guaranteed or risk-free activity. We prioritise capital-preservation awareness and expect investors to only commit funds they can afford to put at risk.
Transparency is a core principle. Figures on this site are editable placeholders, disclosures are made prominently, and we avoid misleading claims such as “zero loss” or guaranteed weekly profits. Where regulatory status, licensing, or third-party providers are relevant, we will only reference them once they are genuinely in place and can be verified.
Defined parameters before capital is deployed.
Honest disclosures and editable, accurate figures.
Designed to serve investors across regions.