Strong quantitative trading expertise and broad access to liquidity lead to long-term sustainable performance for our clients.
We provide consistent risk-adjusted performance via our strong algorithm research and execution with good sharpe ratio.
Our robust risk control strategies have proven to deliver resilient returns, exhibiting uncorrelated performance with broader market movements for over three years.
Experience our composite trading strategies, unlocking the potential of optimized risk-adjusted performance.
Third-party custodian service is provided for our asset management products. Separation of custodian, execution and settlement mitigates the counterparty risk and ensure that client’s asset are stored in the independent cold storage.
External fund administration is engaged to provide the audit on the allocation and performance of the asset.
Cutting-edge infrastructure for data-driven alpha
generation, efficient execution,
and global-scale trading and risk management.
Our solid data layer is the bedrock for achieving unparalleled results. Exceptional performance based on a robust data, especially when managing massive volumes of daily and intra-day crypto data.
Our firm-wide crypto simulation engine for alpha and strategy research, enabling robust testing and analysis of investment strategies.
A stateless, event-driven infrastructure optimized for low-latency, high-throughput cryptocurrency trading at global scales.
Our core approach lies a foundation built on alphas and strategies. Alphas serve as systematic forecasts, while our strategies bring these forecasts to life through resilient protocols.
Achieving commission rate half of that of exchanges, tracking and exceeding benchmarks through systematic models allowing automations for institutional orders.
Customizable risk preference settings, real-time strategy performance monitoring, and stable execution of dynamic strategies.
Tailored solutions designed by industry experts