An institutional quality Fund of Funds in a tightly risk-managed and registered structure
We are at the edge of a new investment era where digital assets will play a significant role in investment portfolios. We wanted to give investors diversified access to crypto assets. From experience, we understood that no single approach would work well during all market conditions.
We took a different approach. We have analysed over 700 strategies, picked a hundred for a deep analysis and carefully chosen only a handful into a coherent multi strategy to achieve exception risk – adjusted returns. This is the foundation for a stable digital asset fund of funds.
Strategy History
How it started
It all started when a couple of traders designed trading strategies for commodities markets back in 2014, and they became a very well-established strategy provider in the private investment sector. Meanwhile, another fine group of traders was honing their digital asset market skills. The two groups and their approach merged into a cohesive trading strategy in 2018, which led to the development of the most incredible digital asset opportunity in our lives.
Looking for consistency and longevity
Our main goal is to offer consistent but higher returns, with lower standard deviation that the benchmark BTC. For this reason, we apply multiple approaches into a coherent strategy that will withstand the test of time. As an institutional grade fund of funds we lean towards stability and safety of capital.
Harmony between risk and return
We believe that managing risk is the best way to achieve high returns. Our team of analysts and portfolio managers continually asses and modify our portfolio, applying active management style and quantitative analysis to offer exception risk to reward rations.