Our Strategies

Two Strategies for Every Market Condition

Our funds provide full participation to the growth of the digital assets ecosystem or stable returns through market neutral harvesting strategies

Diversified Multi-Strategy Fund

The world's first digital assets fund of funds, providing a diversified investment approach to the digital assets ecosystem.

Market Neutral Fund

An alpha focused fund delivering uncorrelated returns through multiple specialized strategies.

Diversified Multi-Strategy Fund

World’s First Blockchain & Digital Assets Fund of Funds

Captures the Growth of the Whole Digital Assets Class

Track Record

Successful long-term track record outperforming the asset class (CCI 30 index).

Diversified Exposure

Diversified exposure to the broader market and top PE/VC funds.

Due Diligence

Institutional grade due diligence removes unnecessary risks & protects against loss of assets.

Luxembourg & Malta Domiciled Funds

Monthly liquidity.

Key Features

Key Parameters

Fund Type

Open-ended

Liquidity

Monthly

Strategy

Multi-Strategy / Multi-Manager

Performance Characteristics

Outperformance Over Time

Proven long-term track record exceeding benchmark returns across diverse market environments.

Reduced Volatility via Diversification

Exposure to a variety of top-performing funds mitigates the risks associated with single asset or single strategy investments

Resilient in Market Turbulence

Designed to protect capital during down cycles through dynamic allocation and risk management.

Differentiating Factors

Access to Private Market Opportunities

Unique exposure to VC and PE deals not accessible to traditional crypto investors.

Extensive Manager Network

Proprietary database of digital assets focused funds, filtered down to a curated portfolio through a rigorous selection process.

Proven Industry Expertise

Led by a seasoned team with decades of experience in traditional finance, alternative investments, and digital assets.

Market Neutral Fund

A multi-manager fund focused on absolute return strategies, designed for conservative investors seeking stable monthly returns in digital asset markets.

Stable Returns

Focus on monthly positive returns with+ double digit targeted annualised return

Risk Management

Rigorous risk assessment process to mitigate risks inherent to digital asset markets.

Isolating Alpha

Strategies designed to isolate alpha returns from market beta, providing uncorrelated returns.

Malta Domiciled Fund

Monthly liquidity providing flexibility to investors.

Key Features

Key Parameters

Fund Type

Open-ended

Target Return

Target Return

Liquidity

Monthly

Strategy

Absolute Return

Performance Characteristics

Uncorrelated to Digital Assets

Returns are not correlated with digital assets or traditional assets classes.

Below Average Volatility

Ultra low, single digit volatility based on the fund's market neutral strategy (or something similar)

Differentiating Factors

Alpha Isolation

Isolating alpha from market beta through specialized strategies.

Uncorrelated Return Stream

Low volatility return flow not dependent on market direction.

Market-Agnostic Operation

Designed to operate effectively in any market condition.