We design and deliver customized investment and risk mitigation strategies, aligning with industry best practices.
An evolving asset management team with in-depth research and development expertise in both traditional and crypto financial markets.
Our Solutions
We offer a set of prime investment solutions to cover an extensive range of asset management needs and risk profiles, while consistently delivering reasonable, risk-adjusted returns.
Risk free
strategy
From 9%–12% APY in DeFi to all-around 12%–16% APY in CeFi — you can benefit from our market-neutral and risk-free crypto strategies complemented by accurate and safe data-driven decisions.
Structured
products
Our structured products, based on fiat, crypto, or combined underlying assets, allow private and institutional investors to enjoy yields over 50% while choosing the risk as 0%, 5%, or 10% of allocated funds.
High Yield
Strategies
For high-risk appetites, we compose exceptional AI-backed strategies outperforming HODL by 150-300% with custom metrics, such as VaR, Sharpe/Sortino, etc.
Fiat strategies
Our flagship fiat strategies are based on the U.S. market performance with different risk/reward ratios for various risk appetites.
Depending on the risk profile and investment horizon, it can include volatility trading, stock index futures performance, portfolio re-balancing algorithms, as well as specifically tailored combinations.
We continuously evolve our research philosophy to find unique alphas within diverse market conditions.
Our Trusted Partners
We continuously evolve our research philosophy to find unique alphas within diverse market conditions.