Comprehensive Solution for Crypto Investment Managers
Designed for professional crypto hedge funds, ETFs/ETPs issuers, yield funds, and allocators (including fund of funds and family offices), this institutional-grade software provides end-to-end digital asset management capabilities.
Key Features for Crypto Fund Operations
Complete Market Coverage
- Integrated Trading Venues: Seamless connectivity with major CeFi exchanges, OTC desks, custody providers, and DeFi protocols across EVM/non-EVM chains
- Full Instrument Support: Spot, derivatives, options, and yield products across centralized and decentralized finance
Operational Efficiency Tools
- Role-Based Access Control: Custom permissions for traders, risk managers, and back-office teams
- Portfolio Grouping: Hierarchical account structures with main/sub-portfolio visualization
- Shadow NAV Accounting: Real-time T+0 valuation with automated balance updates
Advanced Risk Management Capabilities
- Real-Time Monitoring: Exposure, leverage, margin requirements, and protocol risks
- Custom Analytics: Derivatives Greeks analysis with configurable volatility surfaces
- Automated Alerts: Threshold-based notifications across multiple channels
Performance Attribution & Reporting
- PnL Analysis: Trade-level performance decomposition
- Factsheet Generation: Professional investor-grade strategy performance reports
- Data Export: API access for third-party system integration
Institutional-Grade Security
- Regular third-party penetration testing
- SOC2 compliance audit program
- Flexible SaaS or on-premise deployment options
๐ Explore how top crypto funds optimize operations
FAQ: Crypto Fund Management Solutions
Q: How does the shadow NAV accounting work?
A: Our system automatically aggregates API-connected CeFi/DeFi balances with manual entry capabilities for non-automated items, providing real-time fund valuations.
Q: What exchanges does this support?
A: We maintain updated integrations with 20+ leading centralized exchanges and 50+ DeFi protocols across multiple chains.
Q: Can family offices use this for SMA monitoring?
A: Yes, the portfolio grouping features are ideal for allocators managing multiple separate accounts.
Q: How customizable are the risk alerts?
A: Administrators can set 50+ threshold parameters across 15 risk metrics with multi-channel notification options.