We are pioneering institutional-grade DeFi portfolio management — combining traditional finance expertise with transparent, on-chain infrastructure to deliver superior risk-adjusted returns.
Risk management is our first priority. We size positions conservatively and hedge aggressively when market conditions deteriorate.
Every position, every transaction, every rebalance is on-chain and verifiable in real time by any investor at any time.
Smart contracts manage everything. We never hold your funds. You can withdraw at any time without our involvement.
Decisions are driven by quantitative models, not emotion. We apply the same discipline a quant hedge fund would apply to DeFi.
Built on dHEDGE — one of the most audited DeFi portfolio management protocols with significant TVL history.
Our team comes from traditional finance and crypto-native backgrounds. We hold ourselves to the same standards as regulated institutions.