AIN Fx Capital, L.P.
Institutional-Grade Forex Trading for Accredited Investors
Submit Your Application Today
Exclusive Access to Institutional Returns
AIN Fx Capital, L.P. is a 506(b) private offering engineered to democratize access to institutional-grade forex trading. For decades, ultra-high-net-worth individuals and family offices have enjoyed exclusive access to elite proprietary trading desks generating exceptional returns. Now, through our carefully structured Delaware Limited Partnership, accredited investors can participate in this previously inaccessible opportunity.
Built by Jeff Barnes and John Reighard, this fund pools aligned investor capital to unlock the trading expertise of Vestige Capital—a veteran FX proprietary desk with a documented track record of approximately 141% annualized returns and zero losing months over four years. This isn't theoretical performance or backtested results. Every number is broker-verified, CPA-reviewed, and generated from real capital deployment in live market conditions.
Target Net Return: 24-36% Annualized (after 70/30 profit split)
$50,000
Minimum Investment
70/30
Net Profit Split (You/Fund)
Up to 99
Limited Partners Maximum
Why This Opportunity Is Different
Aligned Incentives
We profit only when you profit. No asset-under-management fees, no administrative charges, no hidden costs. Our 30% share of net profits means our sole focus remains generating returns. If the fund doesn't perform, we don't earn. This structure eliminates the perverse incentives plaguing traditional fund management.
Institutional Infrastructure
Segregated accounts at institutional-grade broker-dealers ensure your capital remains protected under your name. You receive single K-1 tax treatment annually, comprehensive monthly performance statements, quarterly detailed reviews, and annual independent CPA audits. We handle all operational complexity while maintaining complete transparency.
Genuine Liquidity
After an initial 6-month commitment period, investors can request quarterly redemption with 30-day advance notice. Unlike traditional hedge funds with multi-year lockups, we provide realistic exit opportunities while maintaining sufficient stability for effective trading operations.
Vestige Capital: The Trading Engine
AIN Fx Capital provides exclusive access to Vestige Capital's proprietary trading desk—a veteran-operated FX trading operation with 16 years of market experience and an extraordinary performance record that speaks for itself.
Over the past four years, Vestige Capital has achieved approximately 141% annualized returns with zero losing months. The average monthly gain stands at approximately 9.7%, demonstrating remarkable consistency across all market conditions including periods of extreme volatility, economic uncertainty, and geopolitical disruption.
This isn't a black-box algorithm or a theoretical strategy. Vestige Capital operates with complete transparency, providing historical data including monthly returns, comprehensive drawdown analysis, and complete trade logs. Every performance metric is independently verified through broker statements and reviewed by certified public accountants.
141%
Annualized Returns
Approximately, based on 4-year verified track record
0
Losing Months
Zero losing months in 4 years of operation
9.7%
Average Monthly Gain
Consistent performance across market cycles
72%
Win Rate
High probability of profitable trades
Rigorous Trading Discipline
Vestige Capital's exceptional performance stems from disciplined methodology focused on risk management first, returns second. This inverted priority structure—prioritizing capital preservation over profit maximization—paradoxically generates superior risk-adjusted returns.
01
Concentrated Focus
Maximum 5 open positions simultaneously across Gold, GBP/USD, USD/JPY, USD/CAD, and select indices. This concentration prevents dilution and enables deep market analysis for each position.
02
Position Sizing
Approximately 2% risk per trade with risk-to-reward ratios typically ranging from 1:1 to 1:3. Conservative position sizing protects capital during inevitable losing trades while maximizing returns during winning streaks.
03
Intraday Execution
Approximately 90% of trades close the same day, minimizing overnight exposure to gap risk and geopolitical events. This tactical approach captures short-term price movements while avoiding extended directional bets.
04
Drawdown Control
Average drawdown ranges from 5-10% with hard maximum cap at 20-25% on unrealized gains. Strict stop-loss protocols prevent catastrophic losses and preserve capital for future opportunities.
Comprehensive Risk Management Framework
Capital Preservation First
Capital preservation forms the absolute foundation of our investment strategy. Before evaluating any potential return, we implement comprehensive risk protocols designed to protect against catastrophic loss. This framework ensures no single event, trade, or market condition can cause unrecoverable damage to investor capital.
Our risk management system operates on multiple defensive layers, each designed to catch potential failures before they cascade into significant losses. Hard stop-loss protocols define maximum acceptable drawdown limits with automated liquidation triggers that execute without human intervention. Position sizing ensures no single trade can materially impact overall portfolio value.
Independent monitoring tracks positions and exposures throughout trading sessions, providing real-time oversight and breach detection. If any violation occurs—regardless of reason—immediate suspension and comprehensive review protocols activate automatically. This zero-tolerance approach to risk violations has been instrumental in maintaining our unblemished track record.
20-25%
Maximum Drawdown Cap
Hard limit on unrealized gains
5-10%
Average Drawdown
Typical portfolio pullback range
2%
Risk Per Trade
Conservative position sizing

Risk-Adjusted Excellence: Our comprehensive risk framework consistently delivers Sharpe ratios exceeding 2.0, indicating superior risk-adjusted returns compared to traditional investment strategies. We don't just generate returns—we generate efficient returns with minimized volatility and drawdown risk.
The Timing Advantage: A Narrow Window
Market conditions have created an unprecedented but temporary opportunity. Elite traders with institutional backgrounds are increasingly migrating from major financial institutions to independent operations. Regulatory pressures, compensation caps, and bureaucratic constraints at traditional banks have pushed top talent toward boutique trading operations where performance directly translates to compensation.
Vestige Capital represents exactly this phenomenon—a veteran proprietary desk that launched as an independent operation within the past two years, bringing proven institutional expertise and a documented track record from prior institutional experience into an accessible structure for sophisticated investors. This migration creates a narrow window where exceptional talent operates outside traditional gatekeepers.
1
2020-2024
Vestige Capital builds 4-year track record: 141% annualized returns, zero losing months, consistent 9.7% average monthly gains
2
Present Day
AIN Fx Capital launches to democratize access, accepting up to 99 limited partners at $50,000 minimum investment
3
Near Future
Capacity closes as desk approaches AUM limits; early partners secure priority access and preferential terms
4
Long Term
Fund closes to new investors; existing partners benefit from maintained trader focus and performance integrity
"History shows that the best institutional traders eventually leave large firms to operate independently. The window to access them is brief—before capacity closes or minimum investments rise beyond reach. AIN Fx Capital exists to capture this moment."
Leadership: Jeff Barnes
CEO & Managing Partner
Two decades of institutional capital markets experience, now focused on democratizing access to elite trading strategies for individual accredited investors.
Career Highlights
  • SVP, Innovation & Capital Markets Strategy at Munich Reinsurance—Led strategic initiatives connecting institutional capital with emerging market opportunities
  • Director, Global Capital Markets Technology at AIG—Architected technology infrastructure supporting multi-billion dollar trading operations
  • Institutional Trading Transformation—Spearheaded billion-dollar technology transformations improving execution quality, risk management, and operational efficiency
  • Proprietary Desk Relationships—Built extensive network with proprietary trading desks globally, observing performance patterns and operational best practices
  • Risk Framework Architecture—Designed and implemented comprehensive risk management systems protecting multi-billion dollar institutional portfolios
Core Expertise
Capital markets infrastructure design, institutional trading desk operations, alternative investment structure engineering, comprehensive risk management system development, and regulatory compliance frameworks for sophisticated investment vehicles.
"I spent 20 years inside major financial institutions, watching proprietary trading desks consistently generate 50-150% annual returns while retail investors settled for 7% index fund returns. The performance gap isn't skill—it's access. AIN Fx Capital bridges that gap, bringing institutional-grade trading strategies to accredited investors who previously had no path to participate."
Jeff Barnes, CEO & Managing Partner
AIN Fx Capital's fund structure was co-built with John Reighard, combining complementary expertise in legal structuring and operational design to create an investor-aligned vehicle.
Leadership: John Reighard
Partner & EVP
John Reighard, a Partner at AIN Fx Capital, excels in business development, investor relations, and strategic partnerships. He empowers entrepreneurs to achieve sustainable success through growth strategies and powerful relationship-building. He also owns and operates two other small businesses.
Career Highlights
  • Angel Investors Network: Led business development, networking, and investor relations to foster strategic partnerships.
  • Thought Leadership: Trained with and consulted for personal development and business transformation experts like Jack Canfield and Stephen Covey.
  • Global Experience: Lived with family in Norway, Portugal, and France after a sabbatical in 2002.
  • Silicon Valley Veteran: 15 award-winning years at leading tech companies including Lucent Technologies and AIG.
Core Expertise
Business development, investor relations, strategic partnerships, entrepreneurial coaching, and leveraging financial acumen for lasting impact. His diverse experience spans global markets and cutting-edge technology infrastructure.
Fund Structure & Investor Terms
Legal Structure
Entity: Wyoming Limited Partnership structured as 506(b) private offering
Investor Eligibility: U.S. accredited investors only, verified through standard documentation
Limited Partners: Maximum 99 investors to maintain regulatory exemptions and operational focus
Financial Terms
Minimum Investment: $50,000 (fund manager reserves discretion to accept lower amounts for qualified investors)
Fee Structure: 70/30 net profit split (investor receives 70%, fund receives 30%)
No Hidden Fees: Zero management fees, zero administrative fees, zero performance fees beyond profit split
Liquidity & Lockup
Initial Commitment: 6-month lockup period from initial investment date
Redemption Rights: Quarterly redemption available after lockup with 30-day advance written notice
Processing: Redemptions processed within 5-7 business days following quarter end
Custody & Security
Account Structure: Segregated accounts at institutional-grade broker-dealers
Capital Control: All funds held under investor name with full legal protection
Trading Authority: Limited power of attorney for trading execution only, no withdrawal rights
Tax Treatment
Annual Reporting: Single K-1 issued annually for simplified tax filing
Tax Efficiency: Pass-through structure avoids double taxation of partnership income
Professional Support: CPA-prepared documentation meets IRS requirements
Reporting & Transparency
Monthly: Performance statements with returns, positions, and key metrics
Quarterly: Comprehensive reviews including detailed trade analysis and risk metrics
Annual: Independent CPA audit providing third-party verification of all performance claims
Your Path to Allocation
Securing your allocation in AIN Fx Capital requires completing a streamlined three-step process designed to ensure mutual fit, provide comprehensive due diligence access, and facilitate efficient capital deployment.
Discovery Call
Submit your application below and schedule a confidential conversation with our team to discuss your investment objectives, risk tolerance, and portfolio allocation strategy. We'll assess whether AIN Fx Capital aligns with your financial goals and answer preliminary questions about fund structure, trading strategy, and expected performance characteristics.
Due Diligence Package
Receive comprehensive documentation including complete audited performance history, detailed risk management protocols, full legal offering documents, historical trade logs, monthly return analysis, drawdown studies, and independent CPA verification reports. Take time to review all materials with your financial, legal, and tax advisors.
Allocation & Deployment
Submit your allocation request with accreditation verification documentation. Upon approval, complete subscription agreements and wire transfer instructions. Capital deployment typically occurs within 5-7 business days, with trading beginning the following month. You'll receive confirmation and access to investor portal.

Time-Sensitive Opportunity
Early partners receive priority access as the trading desk approaches asset-under-management limits. Capacity constraints are real—beyond certain AUM thresholds, trading efficiency degrades and performance suffers. We're committed to maintaining performance integrity by closing the fund when appropriate.
Allocations are not first-come, first-served. We personally review every application to ensure investor alignment with fund objectives, risk tolerance, and long-term commitment to the strategy.
Frequently Asked Questions
What makes this different from other forex funds?
AIN Fx Capital eliminates traditional management fees, aligning our incentives completely with investor returns through a simple 70/30 net profit split. We provide access to a verified institutional trading desk with an unblemished 4-year track record—zero losing months and approximately 141% annualized returns. Unlike black-box strategies, we offer complete transparency with broker-verified performance and independent CPA audits.
How is capital protected?
Your capital remains in segregated accounts under your name at institutional-grade broker-dealers. We hold limited trading authority only—no withdrawal rights. Comprehensive risk management includes hard stop-loss protocols, maximum 5 concurrent positions, 2% risk per trade, and 20-25% maximum drawdown caps with automated liquidation triggers.
What is the minimum investment and lockup period?
The standard minimum investment is $50,000, though the fund manager may exercise discretion for qualified investors. After an initial 6-month lockup period, investors can request quarterly redemption with 30-day advance notice, providing genuine liquidity while maintaining trading stability.
How are taxes handled?
AIN Fx Capital operates as a pass-through Delaware Limited Partnership, issuing a single K-1 annually for simplified tax reporting. You'll receive CPA-prepared documentation meeting all IRS requirements. We recommend consulting your tax advisor regarding your specific tax situation and potential implications.
What is Vestige Capital's trading strategy?
Vestige Capital focuses on veteran FX proprietary trading across Gold, GBP/USD, USD/JPY, USD/CAD, and select indices. The strategy emphasizes intraday execution (approximately 90% trades close same day), conservative position sizing (2% risk per trade), and disciplined risk-to-reward ratios (typically 1:1 to 1:3). This approach has generated a 72% win rate with average monthly gains of approximately 9.7%.
How can I verify the performance claims?
All performance metrics are broker-verified and CPA-reviewed using real capital deployed in live market conditions—not backtests or simulations. During the due diligence process, you'll receive access to complete historical data including monthly returns, comprehensive drawdown analysis, detailed trade logs, and independent third-party audit reports.
Why is capacity limited?
Trading efficiency degrades beyond certain asset-under-management thresholds. Maintaining exceptional performance requires limiting total capital to levels where the trading desk can execute efficiently without market impact or slippage. We're accepting up to 99 limited partners and will close the fund when capacity is reached to protect performance integrity.
Who is eligible to invest?
AIN Fx Capital is structured as a 506(b) private offering available exclusively to U.S. accredited investors. You must meet SEC accreditation requirements, which typically means $1 million net worth (excluding primary residence) or $200,000 annual income ($300,000 joint). We verify accreditation through standard documentation during the subscription process.
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Important Disclosures

Risk Disclosure: Investing in forex and related instruments involves substantial risk, including the potential for complete loss of invested capital. Past performance does not guarantee future results.
Past performance is not indicative of future results. Actual investment performance may differ materially from any projections or expectations set out herein, and significant losses may be incurred. Investing in foreign exchange markets and related financial instruments involves a high degree of risk, including the potential for loss of some or all of your investment capital. Forex trading utilizes leverage, which can amplify both gains and losses.
AIN Fx Capital, L.P. makes no representations, warranties, or guarantees regarding the performance, suitability, or outcomes of any investment. The information provided on this website is for informational purposes only and does not constitute investment, financial, legal, tax, or accounting advice, nor is it an offer to sell or a solicitation of an offer to buy any securities. This material is intended solely for accredited investors and should not be distributed to the general public.
You should consult with your own independent professional advisors, including financial, legal, and tax experts, before making any investment decisions. AIN Fx Capital, L.P., its affiliates, officers, directors, employees, and agents shall not be liable for any direct, indirect, incidental, special, consequential, or punitive damages arising from or related to the use of, reliance on, or inability to use the information contained herein.
All information is subject to change without notice. Any expressions of opinion are solely for general market commentary and do not reflect the views of AIN Fx Capital, L.P. or its affiliates. These opinions are based on current market conditions and may differ from the views of other professionals or entities.
This is a private offering conducted under Regulation D, Rule 506(b) of the Securities Act of 1933. Investment is limited to accredited investors who meet specific financial criteria as defined by the SEC. All investments are subject to thorough review and approval by the fund manager.

Contact Information
Jeff Barnes – CEO & Managing Partner
This website and its contents are intended solely for existing and potential accredited investors of AIN Fx Capital, L.P. and should not be accessed, viewed, or distributed to the general public. All materials should be reviewed in their entirety, including any footnotes, restrictions, or disclosures.