• Crypto Market Neutral

    a diversified basket of strategies

    blockwealth crypto market neutral

Crypto Market Neutral Explained

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.

Multi Managers Crypto Market Neutral

Fund of funds model is an effective solution for our investors.

Our team, alongside our partners, has conducted in-depth research and due diligence on over dozens trading managers. Through years of investment experience, we have built strong relationships with many of the industry’s leading figures.

We provide a comprehensive approach – conducting rigorous due diligence, strategically allocating capital through our proprietary methodology, and actively monitoring and rebalancing the portfolio. With a single diligence process, we offer a seamless and ongoing investment experience. To date, our strategy has consistently delivered competitive, risk-adjusted returns.

147% Net Return Since 2020

Our crypto market-neutral, multi-manager fund of funds strategy is designed to deliver consistent returns while effectively managing volatility.

By leveraging a diversified portfolio of carefully selected trading managers, we have successfully navigated the most challenging market conditions, including multiple bear markets and major exchange collapses like FTX.

Our rigorous risk management and adaptive allocation process have allowed us to preserve capital and generate steady performance, regardless of market direction. Since 2018, this disciplined approach has delivered an impressive 870% gross return before fees, proving its resilience and effectiveness in the ever-evolving digital asset landscape.

Part of our Crypto Wealth Management suite. Explore the full offering and access formats (AMCs, on-chain Vaults, SMA/API).

Crypto Market Neutral Simulator

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