Thoughtful diversification to help minimize risk.
The Galaxy Market Neutral Fund (GVH Market Neutral FOF) is a multi-manager fund of funds investing in low beta, low correlation strategies with minimal directionality versus the broader digital asset market.
Focused not only on early-stage digital assets, but also high conviction investments in small and mid-cap digital asset selection to offer diversified, low beta and low correlation to traditional asset classes.
Diversification & Risk Mitigation
In an early-stage asset class, the winners have yet to be definitively determined.
Comprehensive portfolio construction and diversification help minimize idiosyncratic risks of any one manager, sector, or strategy.
Due Diligence & Monitoring
The team implements qualitative and quantitative investment and operation due diligence processes.
We also maintain an ongoing review and monitoring of the portfolio.
Extensive understanding across portfolio and risk management, due diligence, and valuation.
3+ year track record of investing in high quality digital asset manager strategies.
Rigorous, dynamic, and data-driven approach to manager selection, allocation, and risk management through our proprietary VisionTrack tool.
Uncorrelated access to broader crypto markets through a diverse portfolio of market neutral managers.