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Capital at risk. For professional and qualified investors only. Not intended for retail distribution.

Block Asset Management

Institutional digital asset & systematic investment manager

Specialist investment solutions for digital assets and systematic strategies.

Block Asset Management provides professional and qualified investors with access to diversified digital asset strategies, fund of funds solutions, and systematic investment products designed with institutional due diligence, risk management, and research discipline.

  • Digital asset expertise since 2017
  • Fund of funds & systematic strategies
  • Institutional due diligence & risk discipline

What we do

We build and manage specialist strategies across two pillars — diversified digital asset fund of funds and systematic, technology-enabled trading — combining eight years of digital asset experience with quantitative research, AI and machine learning, and risk-controlled execution.

Four strategy categories for professional investors

Clear segmentation across diversified fund of funds and systematic strategies — each with its own objective, approach and risk profile.

01

Digital Asset Fund of Funds

Diversified, multi-manager access to the digital asset ecosystem with institutional due diligence.

02

Market Neutral / Alpha Strategies

Alpha-focused and market neutral managers seeking risk-adjusted returns with reduced directional dependency.

03

Systematic Digital Asset Strategies

Algorithmic long/short models on liquid digital assets, with AI and machine learning research.

04

Quantitative FX & Commodities Strategies

Systematic quantitative strategies across foreign exchange and commodities markets.

Built for institutional standards

Digital asset expertise since 2017

Eight years of experience navigating digital asset markets through multiple cycles, applied across fund selection and systematic strategies.

Fund selection & due diligence

A structured operational and investment due diligence process underpins every manager allocation in our fund of funds strategies.

Quantitative & systematic expertise

Model-driven, rules-based strategies designed to remove discretionary bias and operate within defined risk controls.

AI & machine learning research

Research that applies AI and machine learning within a disciplined governance framework — a tool, never a performance guarantee.

Risk management discipline

Exposure, concentration, leverage and liquidity are governed by defined limits and continuous monitoring.

Access to specialist managers

Access to managers, strategies and opportunities that can be difficult for investors to reach individually.

Diversification, discipline and research

We believe durable outcomes in digital assets and systematic markets come from diversification across complementary return sources, disciplined risk management, and continuous research — not from directional conviction or market timing alone.

  • Diversify across complementary strategies and managers
  • Govern risk through defined limits and monitoring
  • Let research and evidence drive decisions
  • Communicate with institutional transparency

Risk discipline at the core

Risk management is not a separate function — it is embedded in how every strategy is constructed, sized and monitored.

Defined limits

Concentration, exposure and leverage limits are set in advance and enforced.

Continuous monitoring

Positions, managers and aggregate risk are monitored on an ongoing basis.

Liquidity awareness

Liquidity is assessed against dealing terms across every strategy.

Governance & oversight

Models and allocations operate within a defined governance framework with human oversight.

Built for professional and institutional investors

Our strategies and materials are intended for eligible investors only.

  • High net worth individuals
  • Family offices
  • Wealth managers
  • Asset managers
  • Private banks
  • Financial advisers
  • Professional investors
  • Qualified investors
  • Institutional allocators

An institutional approach to digital assets

From manager due diligence to systematic execution, we apply the governance, transparency and discipline that professional investors expect — with controlled access to investor materials at every step.

  • 01

    Eight years of digital asset experience

  • 02

    Institutional governance & due diligence

  • 03

    Controlled, audited access to investor materials

  • 04

    Professional and qualified investor focus

Request investor information

Speak with our investor relations team about our strategies, or register for gated access to product materials reserved for eligible investors.