
Numbers & Facts
As a FINMA‑licensed alternatives asset manager in Zurich, Switzerland, we empower institutional and professional investors with secure, compliant, and bank-grade access to the future of finance. Leveraging deep expertise in crypto assets and digital finance, we guide our clients confidently through an evolving landscape—ensuring regulatory integrity, robust risk management, and seamless execution at every step.
50+
Years of team experience
Experienced team with track record in traditional financial markets & alternatives
8+
Years in Operation
Established in 2017
$6B
AUM (Group-wide)
Across the Matrixport group of companies, we manage over $6B in digital assets
Expansive suite of products and strategies
Diversified Market Exposures
Regulated & diversified beta to the market.
Regulated funds for qualified investors who seek exposure to the crypto markets in a diversified strategy, wrapped in a regulated, secure bankruptcy-remote fund vehicle
Crypto Market Index Exposure
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We manage strategies that track the SIX Swiss Exchange's CMI10 Index, comprised of the top 10 crypto assets by market capitalization. It is a Swiss FINMA-regulated vehicle, using custody and storage solutions in Switzerland.
Diversified Beta Exposure
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For investors seeking additional exposure to select crypto projects not well represented in a market cap approach, we manage a diversified portfolio that follows a discretionary approach with predefined criteria.
Crypto Momentum ETP​
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The CF Crypto Momentum ETP ("CFMOM") is based on the Vinter CF Crypto Momentum Index, which actively selects crypto assets based on price momentum and on-chain activity. The ETP focuses on the largest and most liquid crypto assets.
Systematic Trading
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We manage a regulated fund vehicle that follows a systematic approach, with the goal of generating attractive performance regardless of the overall market direction. The actively-managed approach allows both long and short positions
Scytale Ecosystem Strategy
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Investing in the Polkadot ecosytem, across parachains and Polkadot based applications
Smart Beta & Thematic Strategies
Following well-established quantitative signals with dynamic portfolio allocations
For investors interested in more dynamic strategies, we manage a trend-following & reversal fund, and a crypto momentum exchange traded product
Why Matrixport Asset Management?
Matrixport Asset Management is a pioneer in institutional-grade crypto investment solutions, having been established in 2017. In 2021, we launched the first FINMA-regulated crypto fund and were the first crypto asset manager to join the Asset Management Association Switzerland (AMAS) in 2022.
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We are backed by Matrixport, a world-leading all-in-one hub for crypto financial services. The Group operates across three continents and manages USD 6 billion under management with 290+ employees.
Regulated & Trusted
​As a FINMA-supervised asset manager of collective investment schemes we ensure exemplary regulatory compliance and investor protection standards.
Pioneers in Europe
We’ve been managing crypto funds since 2017 and launched the first FINMA-regulated crypto fund in 2021.
Broad Experience
Our team’s combined experience in both traditional finance and crypto provides a unique perspective on market dynamics and opportunities.
Investment Solutions
We offer a range of professional services to clients who seek to collaborate or require specific investment solutions tailored to their need
Issuance of Custom Products
We offer an all-in-one solution for asset managers, banks, and family offices to design and issue their own crypto strategy products. Our institutional-grade issuance offering for Crypto ETPs and AMCs includes partnerships with independent Swiss Securitisation SPVs, providing fully segregated and individual client accounts.
Research & Analysis
To complement our investment products, we provide in-depth market analysis, crypto macro research, and educational resources. Our insights are backed by comprehensive data on crypto adoption trends, regulatory developments, and portfolio optimisation strategies.
Quantitative Investment Solutions
Institutional-grade, data-driven strategies designed to capture dynamic market opportunities. Leveraging advanced statistical models, machine learning, and deep market insights, we deliver customized, rules-based investment approaches that align with your risk-return objectives.