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Rethinking Alternative Investments with Criptonite
At Criptonite, we believe digital assets represent a powerful evolution in the world of alternative investments. Here’s why they’re reshaping institutional portfolios:
01
Meaningful Diversification
Digital assets have demonstrated low correlation with traditional asset classes, offering institutional investors a new axis of diversification.
02
Asymmetric Return Potential
This asset class continues to present strong directional and alpha-generating opportunities. Our strategies aim to capture this upside while maintaining rigorous downside risk management.
03
Innovation-Led Exposure
Digital assets sit at the frontier of financial innovation. Through Criptonite, investors gain access to strategies positioned at the intersection of technology, macro evolution, and capital market transformation.
Our Approach to Digital Asset Investing
At Criptonite, we integrate digital assets into institutional investment frameworks with the same rigour and structure found in traditional finance.
Our mission is to help professional investors access the digital asset market confidently—through regulated, actively managed, and performance-driven solutions.
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Product-Led
Strategy Design
From market-neutral yield products to hedge fund-style long/short and directional strategies, we develop structured investment solutions through Swiss Actively Managed Certificates (AMCs), tailored to institutional needs and market conditions.
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Quantitative Research & Risk Management
We deploy rule-based, data-driven models rooted in quantitative analysis and macro insights. Our strategies are built to identify market inefficiencies, manage volatility, and adapt dynamically to market regimes.
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Institutional-Grade Infrastructure
We collaborate with best-in-class custodians, administrators, and trading venues to ensure robust operational security and full transparency throughout the investment lifecycle.
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Regulatory Alignment
As a FINMA-authorized portfolio manager, we structure every product within a compliant Swiss framework—aligning with evolving regulatory standards while offering the flexibility to innovate.
Our Digital Asset Solutions
At Criptonite, we design institutional-grade investment products tailored to meet a range of risk profiles and strategic objectives. Our solutions are actively managed, structured under Swiss regulatory oversight, and delivered through Actively Managed Certificates (AMCs) to ensure liquidity, transparency, and efficiency.
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Hedge Fund-Like Strategies
Investing with crypto, not just in crypto.
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Our hedge fund-style strategies use quantitative models to dynamically adjust exposure, seeking alpha through market inefficiencies.​
Capture both upside and downside trends with long/short positioning.
Benefit from systematic models including momentum, multi-factor, and smart beta.
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​​Access institutional-grade strategies without the complexity of hedge fund structures.
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Yield-Generating Strategies
Stable income from decentralized infrastructure.​
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These market-neutral products are designed to produce consistent returns through conservative yield-generating mechanisms.
Earn income via DeFi lending, staking, and on-chain arbitrage
​Preserve capital through fully collateralized, unleveraged structures
Enjoy daily liquidity and transparent performance reporting
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Directional Strategies
High-conviction exposure to long-term crypto themes.​
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Our directional strategies offer targeted access to major digital assets and emerging narratives with active risk management.
Allocate to core layer-1 assets such as Bitcoin and Ethereum, as well as selected altcoins
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Target emerging investment themes across sectors like infrastructure, AI, DePIN, and DeFi
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Adjust exposures dynamically based on market momentum, macro conditions, and on-chain signals
Our team continuously monitors the digital asset landscape to design and manage strategies that combine institutional-grade infrastructure with active risk management—delivering performance with control, clarity, and compliance.
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Security
Partnering with top-tier custodians and service providers to safeguard client assets through industry-leading operational frameworks.
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Regulatory Compliance
Operating under FINMA oversight with products structured within Swiss regulatory frameworks to meet the highest standards of transparency and investor protection.
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Accessibility
Offering familiar, daily-liquid investment vehicles—such as Actively Managed Certificates
—for seamless integration into institutional portfolios.
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Transparency
Providing clear reporting, position-level transparency, and real-time performance updates to support confident, data-driven decisions.
Meaningful Diversification
Digital assets have demonstrated low correlation with traditional asset classes, offering institutional investors a new axis of diversification.