It is no secret that succeeding financially takes a collective effort. Aligning yourself with the right groups, whether it be financially or otherwise is a key component in not only subsidizing potential pitfalls but it also delivers a distinct advantage in capitalizing on powerful opportunities.
Our collective team of securities attorneys, professional traders, regulated brokers, research and development specialists, and risk management personnel boast of over 100 years experience in the financial services industry and over two decades in the foreign exchange market.
This key factor combined with our proprietary technology allows our company and our clients to find consistent success where others stumble.
Through transparency, compliance, and clear communication, our partners can rest with assurance knowing they’ve made it to the pinnacle of investment opportunity.

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New York Office:

30 Wall Street

New York, New York 10005


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Miami Office:

1000 Brickell Ave, Suite 715

Miami, Florida 33131


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Toll Free Phone: +1 (212) 461-0528



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The material and content presented herein is the sole responsibility of IFG FUND, LLC, a Delaware limited liability company ("we", "our", "us", or the “Fund”) and is qualified in its entirety by the Fund’s offering memorandum (the “Memorandum") which contains more complete information including risk factors. The material and content herein contains forward-looking statements and hypothetical economic forecasts that may not be realized. By receiving or viewing this material, you acknowledge and agree not to rely upon it in making an investment decision. Please read the Memorandum. This material and content do not constitute or form a part of any offer to sell or solicitation to buy securities nor shall it or any part of it form the basis of any contract or commitment whatsoever. Without limiting the foregoing, this material and content do not constitute an offer or solicitation in any jurisdiction in which such an offer or solicitation is not permitted under applicable law or to any person or entity who we cannot reasonably verify as an “accredited investor” as defined under Rule 501(a) of the U.S. Securities Act of 1933, as amended, or who does not possess the necessary qualifications described in the Memorandum and/or Rule 506(c) under Regulation D of the U.S. Securities Act of 1933, as amended. Please read the Memorandum.