At NORMAX CAPITAL, we understand that in today’s global economic environment, energy markets offer not only volatility—but also tremendous opportunity. Our Energy Commodities Indexed OTC Fund has been specifically designed for sophisticated investors seeking diversified exposure to the world’s most vital energy assets, including crude oil, natural gas, gasoline, and heating oil. This fund is structured as an over-the-counter (OTC) private investment vehicle, offering direct, index-linked access to commodity performance via a tokenised model underpinned by transparency, security and long-term value creation.

The global energy sector continues to be a fundamental driver of industrial production, international trade, and geopolitical influence. In times of inflation, macroeconomic tension, or transition to new energy systems, traditional hydrocarbons remain critical assets. This fund capitalises on price movements, structural imbalances, and global consumption cycles, allowing investors to participate indirectly in a historically resilient asset class with forward-looking liquidity mechanics.

By indexing our exposure to a basket of benchmark commodities across diverse global markets, we offer a built-in hedge against inflation and monetary debasement—while preserving the potential for significant capital appreciation.
Our exposure focuses on the most actively traded and strategically relevant energy commodities:




These commodities are tracked via highly liquid indices and synthetic instruments, ensuring price transparency and data integrity, without direct involvement in physical delivery or futures roll-over inefficiencies.

Participation in the Energy Commodities Indexed OTC Fund is made via the acquisition of the NRX Token—a regulated digital instrument issued by NORMAX CAPITAL. Each token represents a fractional right in the NAV (Net Asset Value) of the fund and entitles the holder to pro-rata returns over the term of the investment.
Tokens can be purchased in primary issuances or secondary offerings (where available), and returns are distributed in EUR, USDT, or other stable digital currencies depending on investor preference and jurisdictional compliance.
Index performance and structured derivative strategies
Spread opportunities across futures and OTC instruments
Active rebalancing and tactical positioning in volatile markets
NORMAX CAPITAL S.R.O. offers institutional-grade asset management in the private OTC markets. As a regulated trust and fund operator under EU frameworks, we bring together:
Proven expertise in commodity markets
Access to exclusive liquidity pools
Advanced tokenisation and blockchain security
Full legal compliance and investor protection standards
Our team works closely with each investor, offering regular reporting, independent audits, and bespoke onboarding services. We operate with complete transparency, prioritising capital preservation while delivering asymmetric upside.
Although the fund has a recommended holding period of 36 to 60 months, structured early exit mechanisms may be made available depending on fund liquidity and secondary market dynamics. Investors wishing to exit earlier can request redemptions under the fund’s terms, subject to holding thresholds and market conditions.

This fund is suited for investors who:
Seek exposure to global energy markets without futures complexity
Value index-based models and long-term positioning
Prefer OTC investments with professional oversight
Are comfortable with token-based participation and digital custody
Require portfolio hedging, inflation protection, or diversification away from equity markets
