Institutional Access to Digital Asset Alpha

AlgoQuant offers institutional investors access to digital asset markets through a multi-strategy fund structure designed for performance, transparency, and long-term partnership.
Our investors participate in a pooled vehicle. We then allocate capital across a diversified portfolio of internally managed strategies and carefully selected external teams.
This model allows us to retain full transparency, risk oversight, and control, while giving our investors exposure to multiple sources of differentiated alpha in one institutional product.

A Platform Built for Sophisticated Capital
AlgoQuant combines the structure and discipline of traditional asset management with the innovation and velocity required in digital markets. We operate with:

Diversified by Design
We do not rely on a single strategy or signal. Our capital is allocated across a diverse set of quantitative approaches, each selected for its potential to generate differentiated alpha and contribute to a balanced, resilient portfolio.
This multi-strategy model allows us to manage correlation risk, optimise capital efficiency, and adapt quickly to changing market conditions.
Options strategies
Arbitrage strategies
High frequency strategies
Momentum strategies
Alternative data source strategies
Event-driven strategies

Aligned for the Long Term
AlgoQuant‘s Partners are committed to building a durable, institutional platform. Our investors benefit from a culture of alignment, with capital deployment driven by a shared focus on performance, transparency, and risk control.