Our market neutral trading approach is designed to profit from both rising and falling markets while minimizing overall market risk. We achieve this by identifying and trading on market inefficiencies using quantitative strategies that are rigorously tested and risk-managed. Our risk management approach is central to our investment philosophy, allowing us to protect capital while generating returns for our investors.
Our tight risk management, backed by years of experience and a collective traded volume of over $10b, allows us to make informed and strategic investment decisions. Our commitment to minimizing risk while maximizing returns is the foundation of our investment philosophy.
What we do?
We provide liquidity and other forms of incentives to bootstrap protocols from inception.
Create liquid markets. Narrow market spreads.
We borrow your unused assets at attractive rates. OTC desk for larger & special quotes.
We connect you to funds, exchanges, and LPs. Guidance during the most important stages.