Generate alpha with digital assets.

Diversify your portfolio.

  • Market-neutral Alpha

    Access a diverse portfolio of digital asset managers in beta-neutral strategies such as exchange arbitrage, volatility arbitrage, mean reversion, basis trading, market-making, and proprietary algorithmic trading. Investors gain exposure to the outsized return potential of innovative investing, with the defined risk parameters found in more traditional asset classes.

  • BTC +

    Sharing the same investment philosophy as our market-neutral strategy, our BTC+ strategy provides access to a diverse portfolio of digital asset managers who make Bitcoin-denominated trades. All transactions and returns are in BTC, designed to offer investors who hold bitcoin the chance to earn alpha on their bitcoin holdings, as well as to provide USD investors with beta exposure to bitcoin.

  • Crypto VC

    Our early-stage blockchain venture strategy takes a methodical, data-driven approach to portfolio construction. We take advantage of deep industry networks to build a properly diversified portfolio of seed-stage blockchain companies and tokens capable of asymmetric payoffs.

Samara Alpha Hedge Fund Seeding Platform

Seeding platform

Our hedge fund seeding platform is founded upon decades of experience seeding emerging managers. Startup crypto managers benefit from our operational and technological expertise through all phases of initial growth, allowing them to focus on alpha generation. Investors in the platform capitalize on low-cost seeding opportunities with substantial upside potential unique to the digital asset class. The platform was launched with our inaugural seed, Animus Technologies.

Technology platform

Arising from Samara Alpha’s need for stringent risk management and portfolio monitoring, we developed Sylvanus. At the forefront of risk management innovation, Sylvanus empowers institutional investors with unparalleled insights into dynamic digital asset investing. This cutting-edge portfolio and risk management platform offers robust, institutional-grade, risk models and stress testing tools, enabling investors to make confident decisions in a market that demands precision.