Market Neutral Liquidity

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. To enquire on returns after March 31 2017 please contact us.

YTD

16.16%
As of 31 March 2017

ITD

102.59%
Since 21 June 2014

Blockchain Wealth Active Growth

Alpha Picking / This strategy aims to achieve a certain return through a Long exposure on a basket of blockchain assets, therefore linked to the appreciation in price of this basket. To enquire on returns after March 31 2017 please contact us.

YTD

335.26%
As of 31 March 2017

ITD

1218.50%
Since 22 June 2014

Blockchain Market Capitalisation Tracker

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. To enquire on returns after March 31 2017 please contact us.

YTD

23.33%
As of 31 March 2017

ITD

393.80%
Since 1 September 2015