OUR FAMILY OF INVESTMENT STRATEGIES
Satoshi Capital Fiat Trading continously develops a collection of traditional asset strategies.
At Satoshi Capital Fiat Trading, we collaborate closely with emerging investment managers to coach them through strategy crafting, risk management development, legal and operational setup, and capital raising. After a rigourous vetting process, managers are selected to join our family of funds.
Our upcoming funds are highlighted below to showcase the type of managers and investment strategies we tend to work with,

CASSINI
Systematic trading of G5 major fiat currencies
The first strategy to join our collection of funds is powered by a novel algorithm with technical and fundamental indicators that trigger buy/sell orders in select currency pairs. Once live, a probabilistic engine manages the position sizing of trades.

MACRO TWIN
Traditional investing that mimicks crypto markets
This upcoming strategy invests in a combination of traditional assets whose aggregate returns are highly correlated with crypto markets. This strategy is perfect for investors that want exposure to crypto markets without actually investing in cryptocurrencies.

PNEUMA
Opportunistic trend-following strategy
Pneuma was originally developed for the crypto market structure, however, when applied to traditional markets it was found to be very successful and benefit from the abundant liquidity of traditional asset classes.

BLUESKY
Volatility targeted macroeconomics
Borrowing from the volatility targeting principles of quant finance, along with the trend-following signals of commodity pool operators, this strategy diversifies returns across multiple traditional asset clasess while keeping a constant volatility exposure.