We believe that over the next two decades, blockchain technology will massively impact all sectors of our global economy.
This technological revolution is creating new opportunities for alpha generation.
We apply the same strategies that we have been using for 20+ years across credit & equities to this new asset class, offering true alpha, not simply market beta.
We seek to foster lasting partnerships with our clients by prioritizing a culture of transparency and by adding value beyond economic returns.
Our seasoned portfolio team has experience managing money across several different asset classes in volatile markets. Our fundamental risk management philosophy is to look at how low a security can go, and mitigate downside risk.
Our funds analyze global economic events and asset classes in combination with crypto-specific events. We also look at emerging markets and trends in the technology sector to identify areas of growth.
We believe that tokens are both securities and tech products. Therefore, our thesis-driven security-by-security analysis includes a thorough technical vetting that evaluates the strength of a protocol and underlying infrastructure.
We partner with leading service providers to ensure that we have the procedures in place to protect and secure investors' cryptocurrency assets. We adhere to the strictest security, custodial, and regulatory standards.
The Arca team’s interdisciplinary expertise & knowledge base in both traditional finance and digital assets allow the team to properly source and analyze new opportunities.
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