Multi-Factor Portfolios

Our market-neutral, survivorship-bias-free, multi-factor portfolios are constructed to deliver uncorrelated alpha.

Single-Factor Portfolios

Our single-factor portfolios are designed to provide a simple and effective way to gain exposure to a specific factor.

Momentum

Captures short-term momentum opportunities, aiming for uncorrelated returns while minimizing directional exposure.

Benchmark (BTC)Portfolio
64%
37%
1.11
1.02
1.00
0.04
Top 20 Market Cap
Tier 1
Market-Neutral
Survivorship-Bias Free
Single-Factor

Enhanced Momentum

Captures short-term momentum opportunities, aiming for uncorrelated returns while minimizing directional exposure.

Benchmark (BTC)Portfolio
64%
62.2%
1.11
1.59
1.00
-0.05
Top 20 Market Cap
Tier 1
Market-Neutral
Survivorship-Bias Free
Single-Factor

Carry

Captures cross-sectional carry premiums, exploiting funding imbalances.

Benchmark (BTC)Portfolio
69.6%
16.3%
1.18
0.58
1.00
-0.19
Top 20 Market Cap
Tier 1
Market-Neutral
Survivorship-Bias Free
Single-Factor

Enhanced Carry

Captures cross-sectional carry premiums, exploiting funding imbalances.

Benchmark (BTC)Portfolio
70%
42.8%
1.18
1.17
1.00
-0.08
Top 20 Market Cap
Tier 1
Market-Neutral
Survivorship-Bias Free
Single-Factor

Retail Flow

Quantifies retail money flows, activity and systematically takes contrarian positions, aiming to capitalize on behavioral inefficiencies.

Benchmark (BTC)Portfolio
52%
57.4%
0.99
1.38
1.00
-0.01
Top 20 Market Cap
Tier 1
Market-Neutral
Survivorship-Bias Free
Single-Factor

Open Interest Divergence

Quantifies open interest divergence and systematically takes positions, aiming to capitalize on behavioral inefficiencies.

Benchmark (BTC)Portfolio
60.2%
23.3%
1.07
0.72
1.00
-0.11
Top 20 Market Cap
Tier 1
Market-Neutral
Survivorship-Bias Free
Single-Factor