Atitlan Asset Management
Crossover fundLondon · 3 people tracked
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Investment thesis
Atitlan focuses on generating uncorrelated, market-neutral alpha through systematic quantitative strategies in crypto. It aims to exploit the gap between perceived and actual risk in crypto markets and to capture systemic inefficiencies, while using quant methods to remove human bias from discretionary investing. Risk is mitigated through deep diversification across investment channels (funds and separately managed accounts), institutional-grade structures, third-party custody with an FCA-registered custodian, and a multi-strategy, market-neutral trading approach backed by a long audited track record. Performance fees are reinvested into the fund to align interests with investors.
Source: firm website, verified Aug 3, 2026.
Team · 3 people
from the firm's website & curatedFrequently asked questions
- What sectors does Atitlan Asset Management focus on?
- Atitlan Asset Management focuses on Crypto & Web3.
- Where is Atitlan Asset Management located?
- Atitlan Asset Management is headquartered in London, GB.
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