Meet the Mobile App
DownloadDigitally enabled. Designed for clarity.
Access unifies portfolio design, subscriptions, and security into a seamless digital experience built around your needs.




Consolidated portfolio view
Your assets, investment updates, and analytics, housed in a single seamless digital experience.

Curated opportunities
Allocate investments across multiple asset classes, each one vetted by our investment committee before it becomes available to you.

Community co-investment
See where members of the community are invested, connect with like-minded people, and expand your network with ease.

Ongoing monitoring
Statements and updates monitored by a full-time investment team, delivered seamlessly.

Built for convenience and peace of mind
Every step of managing your investments is optimised digitally, from subscription to reporting, and every part of it is backed by institutional-grade custody and infrastructure.
Seamless Execution, at your fingertips.
Choose Your Investment
Browse curated opportunities across private markets. Each one is screened by the investment team before it reaches the platform.

Set Your Allocation
Funds are transferred to the administrator and recorded individually to you, then deployed into the underlying opportunity.

Formalise Your Subscription
Complete your subscription in the app. Documents, eligibility checks and signatures all happen in one digital flow.

Keep Track of Performance
Follow valuations, statements and updates as they arrive, alongside the rest of your portfolio.





The Underlying Infrastructure
Access is regulated by the Dubai Financial Services Authority in the DIFC. Investments are recorded individually to each investor and administered independently of the Firm.
Our partners






The Access Pure Alpha Framework
To create a compliant and seamless investment experience, we've signed a management agreement with Access Wealth Technologies SPC in the Cayman Islands.
This segregated portfolio company (SPC) operates individual portfolios (Segregated Portfolios) for each alternative opportunity surfaced by Access through its platform. The SPC has engaged top-tier service providers for institutional-grade governance of the vehicles through which investors deploy their capital.

Walkers our fund counsel helps in creating, registering & administrating the SPCs and individual SPs, while ensuring all activities are in compliance with CIMA (Cayman Island Monetary Authority) regulations.

The fund has appointed independent Directors from Paradigm, providing independent governance and compliance under the purview of the Cayman Monetary Authority.


Your funds are held with Fund Bank in the Cayman Islands pending deployment into the underlying investment opportunities in line with the fund's mandate as supervised by the investment manager.

NAV Consulting ensures seamless handling of subscriptions, redemptions, and compliance, while managing fund accounting and providing clear performance statements.

To verify accuracy, RSM conducts yearly financial audits, confirming NAV Consulting's accounts.
The Direct Investment Framework
Direct Investments on Access are held with Apex, an independent custodian. Apex pools investor funds, records each investor's holding individually and executes the investment documents for every participant.

Access surfaces deals on the platform, originated through proprietary deal flows or sourced via the Access community.

Investors wire their funds to Apex, which pools and individually records their funds.


Apex executes the investment documents for all participants. Investment details and updates are made available on the Access app.
Invest, Grow & Succeed Together.

