At Baus, we bring quantitative rigor to the nascent cryptoasset markets.

Our approach leverages a diverse set of strategies designed to achieve robust absolute and risk-adjusted returns. Our process enables us to develop and iterate on strategies and research quickly.

We believe that in emerging alternative markets like digital assets, a sophisticated institutional research infrastructure is essential. Many firms will frequently adjust their strategies, execution methods, or even their market perspectives, but often lack the data-driven, scientific approach necessary to make these changes with confidence. Too often, we’ve seen this shortcoming compromise investor outcomes.

Our strategies encompass a mix of systematic directional, delta-neutral, and arbitrage, offering a diverse array of orthogonal return streams that we believe are essential for delivering lower volatility without significantly compromising upside potential.

We recognize the tremendous opportunities within this asset class and the premium associated with early participation. Through our systematic and active management, we aim to capture substantial long-term upside, providing clients with both strong risk-adjusted returns and the growth potential they seek in the digital asset space.