Put Your Bitcoin

to Work

Compliant, Risk-Adjusted Return Strategies

Built for Bitcoin Holders

The The Conservative BTC is designed for allocators who prioritize capital stability with consistent BTC-native yield. The Balanced Portfolio offers an attractive step-up in return for those comfortable with modestly higher volatility, still operating within a tightly managed risk framework. Deposit Bitcoin and Earn Bitcoin.

Our Approach

Blending CeFi and DeFi allocation for maximized returns

Diversification through delta-neutral and
hedged strategies

Weekly liquidity windows

Automated allocation, dynamic risk management and rebalancing

BTC Portfolio Allocations

Each portfolio is multi-manager and multi-strategy, engineered to reduce volatility and deliver non-correlated performance across changing markets. Allocations are professionally managed and dynamically rebalanced using our proprietary risk engine.

Metric

Conservative

Balanced

CeFi Delta Neutral

45%

45%

DeFi Market Neutral

35%

15%

Low-Risk Directional (hedged/no leverage)

20%

10%

Mid-Risk Directional Strategies

25%

High-Risk Directional Strategies

5%

Total

100%

100%

Blending CeFi and
DeFi allocation for
maximized returns

Weekly liquidity
windows

Automated allocation,
dynamic risk management
and rebalancing

Diversification through
delta-neutral and
hedged strategies

BTC Earn Portfolios

Conservative

The Low-Risk BTC Portfolio is designed for allocators who prioritize capital stability with consistent BTC-native yield.

Balanced

The Mid-Risk Portfolio offers an attractive step-up in return for those comfortable with modestly higher volatility, still operating within a tightly managed risk framework.

Custody: via Fireblocks or Ceffu
Liquidity: T+5 settlement
Reporting: Daily NAV and performance transparency
Denomination: Yield accrued in BTC
Design: Built for compliance, transparency, and scalability

Performance Metrics (Net of Fees)

Last updated January 2025

Metric

Conservative

Balanced

Target Yield (APY)

8.00%

12.00%

Trailing 12-Month APR

6.78%

10.19%

Trailing 12-Month APY

6.98%

10.64%

2024 APR

14.45%

8.37%

2024 APY

8.67%

15.38%

YTD APR (2025)

7.25%

7.94%

YTD APY (2025)

7.49%

8.16%

Cumulative Return (as of 2025)

11.4%

19.2%

Sharpe Ratio

4.23

3.57

Max Monthly Drawdown

-0.39%

3.57

Avg. Drawdown

-0.94%

-0.97%

Avg. Recovery Time (Days)

2.5

3.2

Use Case

These BTC-denominated yield portfolios serve distinct allocator profiles:

Conservative

Designed for capital preservation with consistent daily yield. Ideal for trustees, PPLI/UL strategies, and liquidity-driven family offices.

Balanced

Tailored for investors seeking alpha with controlled directional exposure. Suited for HNW individuals, crypto-forward family offices, and alternative asset allocators.

Built for Bitcoin Holders

Real-time NAV and transparency

BTC-native reporting tools

Zero-staking, zero-wrapping risk