Digital Multi- Strategy Fund
An actively managed digital-markets hedge fund.
From digital assets to digital markets
The Fund allocates across three digital markets, each with distinct drivers of return.
On-chain Derivatives
Perpetual markets with the depth of traditional venues, open around the clock.
Tokenized RWAs
Equities, indices and commodities, on-chain and always open.
Prediction Markets
A continuous price on real-world outcomes, from rate decisions to geopolitics.
A multi-strategy approach
The Fund takes a multi-strategy approach to investing across the digital-asset ecosystem, dynamically allocating capital across complementary sources of return.
- 01
Market Neutral
Yield, carry, basis and relative-value strategies with limited directional market exposure.
- 02
Systematic
Data-driven and quantitative strategies that seek to identify repeatable opportunities across liquid digital markets.
- 03
Thematic
High-conviction, low-risk high-return positions on macro shifts and structural trends across the markets.
Dynamic allocation between strategies
The strategies run within a single portfolio and risk framework, and capital moves between them as market conditions evolve. The result is a diversified return stream with low correlation to market beta.