Pleasure to meet you.
We're WIZDOM.

WIZDOM is Rimon’s fund of funds, purpose-built for periods of market uncertainty. It is a diversified investment vehicle designed to provide broad exposure, compelling opportunities, and disciplined risk management across strategies and market environments.

What Is a Fund of Funds?

In recent years, fund of funds have gained prominence as an effective way to reduce investment risk through diversification across multiple hedge funds, without increasing minimum investment requirements.

This structure offers enhanced stability and access to a wider range of strategies, while relying on deep expertise, rigorous manager selection, and professional portfolio oversight.

WIZDOM – The Intelligence to Invest

Especially in Times of Uncertainty

A multi-fund strategy that offers you diversified investments, a wide range of opportunities, and smart risk

WIZDOM integrates the firm’s flagship hedge funds—Hetmed, launched in 2017, and Mango, launched in 2021. Together, these two fully hedged core strategies account for approximately 70% of WIZDOM’s allocation. The remaining 30% is dedicated to advanced and diversified strategies, including algorithmic trading, options-based strategies, and other systematic trading models.

Hetmed Fund operates across global capital markets using a long/short strategy designed to identify opportunities in both bullish and bearish environments. The fund’s investment process is grounded in a combination of technical and fundamental analysis, with clearly defined risk parameters.

Mango Fund focuses on capitalizing on global interest-rate differentials through FX and commodity trading. Its strategy hedges volatility between currency and commodity pairs while generating returns from daily interest accrual and mitigating negative interest exposure.

Extensive Experience in Delivering Winning Investment Approaches

Hedging Strategies for Effective Risk Management

An Alternative Investment Fund Built on Proven Success

Frequently Asked Questions

Investing in hedge funds typically requires relatively high minimum commitment. At the same time, effective portfolio construction calls for diversification across multiple strategies and managers.
A hedge fund of funds addresses this challenge by providing diversified exposure to several high-quality funds—without requiring investors to meet the minimum investment threshold of each fund individually.

Both funds demonstrate strong performance records: Hetmed offers a proven seven-year track record, while Mango has delivered nearly three years of consistent performance. What distinguishes these funds within the Israeli market is their limited reliance on market direction, with strategies designed to perform in both rising and declining market environments.

The foreign exchange (FX) market is the largest and most liquid financial market in the world, influenced by a combination of technical, fundamental, and geopolitical factors. Achieving consistent results in this market requires a high level of skill and specialized expertise.
Rimon Hedge Funds’ professional team brings years of experience and deep domain knowledge in FX trading. The fund’s core activity focuses on major global currencies supported by stable economies, with no exposure to cryptocurrencies.

The core strategies underlying WIZDOM are fully hedged. While the risk of loss can never be entirely eliminated, this hedged structure significantly reduces exposure to market direction and mitigates the impact of potential decision-making errors.

The fund is structured as a limited partnership established in Israel. All investors participate as limited partners, with the number of non-accredited limited partners restricted in accordance with applicable legal and regulatory requirements.

The fund benefits from professional investment management and comprehensive administrative oversight. The General Partner is responsible for appointing qualified service providers, including those handling tax matters, anti-money laundering compliance, and other regulatory and operational requirements.

Rimon Hedge Funds does not conduct fund management activities in Israel. The partnership’s account is maintained with a reputable U.S.-based bank, and all trading activities are executed through regulated banks and brokers located outside of Israel, primarily in Europe.

The fund administrator has several key roles. First, the administrator independently values the fund’s assets based on reports received from the underlying managed funds, together with the fund’s managed capital. Second, the administrator serves as a second authorized signatory—alongside the General Partner, for all matters relating to capital movements, including investor subscriptions, withdrawals, and transfers. Third, the administrator acts as the fund’s tax trustee.

Past performance is not indicative of future results. The above does not constitute a public offering or an invitation to invest, but rather a general and high-level presentation of the opportunity to join as an investor in Wizdom Capital Limited Partnership (the “Fund”).

Investment in the Fund is intended solely for Qualified Clients as defined in the First Schedule to the Israeli Securities Law, 1968, and only after such investors have provided appropriate documentation to verify their status. Accordingly, interests in the Fund are not being offered to members of the general public who do not qualify as such.

There is no guarantee of any return in connection with the Fund, and past performance or forward-looking statements may not materialize or may materialize in a materially different way than expected, due to various and unpredictable factors.

Participation in the Fund as part of an “investment vehicle” is subject to the terms of the fund agreement to be signed between the General Partner and the investor, and entails risks as outlined in the fund agreement, in addition to further risks arising from exposure to securities and/or financial assets of other funds.

Nothing herein constitutes investment advice or should be considered a substitute for investment advice tailored to the needs of any specific person. This content is for general informational purposes only and is provided as background material for individuals interested in the Fund.

Some of the above content is provided “AS IS” by the Fund’s partners or the General Partner, without any representation or warranty of any kind.

Prospective investors are strongly encouraged to carefully read the Fund Agreement prior to making any investment decision.

All rights to this website are reserved. Any reproduction, distribution, or public display of this website or its content, in whole or in part, without prior written consent from an authorized representative of the company, is strictly prohibited.

This disclaimer is current as of December 2024.

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