A crypto market-neutral strategy seeks returns uncorrelated to the overall crypto market by offsetting long and short exposures via basis, funding, pairs and options hedges. It targets stable risk-adjusted returns with strict risk controls and efficient execution.
B/Partners is our Market Neutral Investment strategy that consolidates a diversified portfolio of typically hard-to-access external managers into a single investable vehicle.
Since 2020 the portfolio’s underlying strategies include basis, funding, and curve arbitrage, statistical arbitrage, DeFi strategies, volatility strategies, and special situations.
B/Partners provides diversification across different investment approaches and expert teams, reducing reliance on a single strategy or market condition. By allocating capital across multiple trading styles – such as market-neutral, trend-following, arbitrage, and DeFi yield strategies – investors can achieve more stable returns while mitigating risks associated with volatility.