Active

Platinum bar, 1 kg, 999.5

Asset value
65.300,00 €
Earning potential
13.2%
Splints left
668/1.306
Investment horizon in years
3-5
Return-to-Risk Assessment
4/10
Performance since release
+0.0%

Buy the entire asset

Request to purchase the entire asset instead of just fractions.

Main reasons to invest

  • Return PotentialšŸ“ˆ: An investment of €500 could reach an estimated value of €929 in 5 years.

  • Cost-to-Return Ratioāš–ļø: With just 2.3% annual total costs, your net profit could be 13.2% per year.

  • Industrial Scarcity Meets Strategic Demand ⚔: While gold is held mainly as jewelry and a financial safe haven, platinum demand is driven largely by real-world applications (automotive, hydrogen technologies), and most supply comes from just a few regions. If demand rises or supply tightens, prices can react strongly — creating asymmetric upside potential.

Description

Investment Thesis šŸ“
 
Metric Value
Investment Horizon From 3 to 5 years (target exit 2029–2031)
Potential net ROI p.a. 13.2% p.a. (Balanced)
Potential net ROI p.a. 17.5% p.a. (Ambitious)
Sharpe Ratio 0.46
Value at Risk (VaR) 77% probability the asset’s value exceeds the initial investment after 5 years
Standard Deviation 28.2%
Price Verification (prior fees) -1.2% vs. current market value (discount)
Price Verification (after fees) +10.2% vs. current market value (premium)
Track Record 123 comparable sales points
Risk Rating B (7.2/10 – Moderate Risk)

  • 3–5 Year Horizon: Planned exit between 2029 and 2031 to benefit from demand cycles and increasing scarcity.
  • 13.2% net ROI p.a. (Balanced): Base-case return expectation under a balanced scenario.
  • 17.5% net ROI p.a. (Ambitious): Higher-return scenario reflecting stronger upside conditions.
  • Entry Pricing: Fairly priced with a -1.2% discount prior fees vs. current market value; +10.2% premium after fees.
  • Sharpe Ratio (0.46): Risk-adjusted return indicator based on the provided ex-ante Sharpe estimate.
  • VaR Interpretation: Model suggests a 77% probability of being above the initial investment level after 5 years.
  • Volatility (28.2%): Indicates moderate-to-high variability typical of alternative/collectible-style pricing behavior.
  • Risk Rating ā€œBā€ (7.2/10): Balanced overall profile supported by strong track record, with volatility as the key risk driver.
Why Invest in This Category? šŸŽØ
Platinum is one of the rarest precious metals in the world and plays a critical role in modern industry. It is essential in catalytic converters, hydrogen fuel cells, and advanced chemical applications. Demand is increasingly supported by the global energy transition and stricter emission standards. At the same time, global supply is highly concentrated in just a few regions, creating structural vulnerability to disruptions and strengthening the long-term value outlook for this strategic metal.
Why Invest in This Asset? šŸ’Ž
Platinum combines extreme scarcity with strong industrial relevance, giving it a powerful dual demand driver. Its price is shaped not only by macroeconomic forces and interest rate cycles, but also by real-world industrial consumption—particularly in automotive catalytic systems and emerging hydrogen technologies. As decarbonization strategies accelerate globally, platinum’s role in fuel cell and hydrogen infrastructure development adds a structural growth component to demand.

From a portfolio perspective, platinum offers tangible ownership without counterparty risk and provides diversification benefits within the precious metals segment. Unlike gold, which is primarily monetary, platinum’s industrial linkage can amplify upside potential during economic expansions. At the same time, its limited annual production and geographically concentrated supply create asymmetric price dynamics if demand rises or supply tightens. As a physical precious metal, platinum benefits from global recognizability and liquidity, offering investors direct exposure to a hard asset that is independent of corporate earnings, credit markets, or financial system risk.
Conclusion šŸŽÆ
This 3–5 year platinum investment targets both industrial growth and macro-driven upside potential. With defined volatility, measurable scenario returns, and structural scarcity, it offers balanced exposure to the energy transition and supply-driven price dynamics. Platinum’s rarity and industrial importance support diversification and long-term portfolio resilience in evolving economic conditions.

Expert

philoro Schweiz Ltd

philoro is a reliable partner for investing in gold and silver. The company's highest quality standards for its products and comprehensive service have made it one of the market leaders in the precious metals trading sector in Europe.

Additional details

Asset ID
3e805f02-20a9-43ea-846d-c1dab818169e
Investment Object
1 Platinum Bar
Fine weight
999.5

Documents

Aurelio Image CEO

Aurelio

CEO & Co-Founder