Exclusive trading strategy signals that generate alpha and beta returns on blockchain assets.
Alpha Volatility / Our flagship strategy is generating impressive returns while keeping a market neutral exposure on blockchain assets, therefore insulated from the appreciation and depreciation of the price of selected blockchain assets using cross-market arbitrage. For more information, please contact us directly.
Beta Exposure / The strategy aims to track the performance of the Blockchain ecosystem via a long exposure to a basket of the 5 biggest Blockchain Assets weighted by market capitalisation. The basket is rebalanced on a monthly basis. For more information, please contact us directly.