
Portfolio Overview
Our portfolio architecture is designed to capture value across the entire mining lifecycle. We specialize in vetting and securing institutional-grade assets that form the backbone of the domestic supply chain, providing diversified exposure to key commodities through strategic equity and royalty stakes.
6 Portfolio Companies · 8 States · 16 Commodities
Private Holdings • Public Companies

Cerise Project
Utah, USA

Gemstones
Entering the unique gemstone sector with strategic assets located in the geological hotspots of Utah.
Planning

Rough Mountain Project (Coming Soon)
pending acqusition
New Mexico, USA

Rare Earths, Copper, Gallium
Advancing a high-potential project in New Mexico focused on securing domestic supplies of rare earths, copper, and gallium for critical technology sectors.
Commodity Exposure

Antimony
States
2
Projects
1

Lithium
States
1
Projects
1

Gold
States
3
Projects
4

Silver
States
4
Projects
4

Rare Earths
States
2
Projects
2

Copper
States
3
Projects
3

Platinum
States
2
Projects
2

Palladium
States
2
Projects
2

Nickel
States
1
Projects
1

Cobalt
States
1
Projects
1

Manganese
States
1
Projects
1

Beryllium
States
1
Projects
1

Gallium
States
1
Projects
1

Tungsten
States
1
Projects
1

Rhodium
States
1
Projects
1
Development Pipeline
Opportunity Identified
→
Due Diligence
→
Acquisition
→
Exploration
→
Development
→
Production
American Antimony
Sidney Resources
North America Lithium & Gold Corp.
Pegasus Tel
Buyer Group
Xcana
Cerise
Rough Mountain
U.S. Market Exposure
16
Commodities
08
U.S. States
06
Companies
30,000+
Total Acres
2021
Year Founded
100%
U.S. Based
Institutional Portfolio Data
$200M
Public Market Capitalization
Aggregate market capitalization of Red Beryl's publicly traded portfolio companies.
$100M+
Portfolio Asset Value
Estimated value of owned equity positions and secured critical development assets.
≈$886M+
Peak Combined Public Valuation
$424M
Highest Individual Public Peak
Red Beryl Portfolio Analysis: Data current as of Q1 2026. Cumulative asset base reflects secondary market valuations of controlled interests and strategic majority/minority stakes held across our core U.S. mineral districts.
Commodity Market Context
Our portfolio performance is intrinsically linked to global commodity demand. Real-time market tracking across strategic asset classes—including Antimony, Gold, and Rare Earths—provides the institutional context for our long-term acquisition and development strategy.
Commodity Exposure Hub
Strategic data layer across our public equity positions, private development assets, and real-time commodity exposure footprints.
Institutional Portfolio Intelligence
RBMC Domestic Minerals Composite™
Hypothetical Equal-Weighted Public Portfolio
Illustrating the historical performance of a hypothetical $10,000 equal-weight investment across Red Beryl Mining Company's six publicly traded portfolio companies beginning in February 2021.
Year-To-Date
-59.89%
Portfolio Value
$4,011
1 Year
-25.06%
Portfolio Value
$7,494
5 Years
+748.81%
Portfolio Value
$84,881
Maximum Illustrative Opportunity
Peak Opportunity
+10,836%
Historical Opportunity Value
$1,093,563
Portfolio Inception
February 2021
/
Initial Investment
$10,000
Equal Allocation
$1,666.67 Across Six Public Holdings
The RBMC Domestic Minerals Composite™ is a hypothetical equal-weight portfolio created for informational purposes. The Maximum Illustrative Opportunity assumes each holding was independently valued at its highest observed share price after February 2021. Individual peaks occurred on different dates and were not simultaneously achievable. Past performance does not guarantee future results.

Building America's Resource Future
Every company within our portfolio represents another step toward rebuilding America's domestic mineral independence.













