Our extensive trading expertise, combined with advanced modeling and proprietary resources, enable us to actively engage in liquidity providing on all leading markets of crypto-assets, with a 365/24 presence.
At Hideo Ventures, we are fully focused on growing our capital through our investment approach, underpinned by dedication, experience and discipline.
To maximize risk-adjusted returns, regardless of the crypto-assets markets, macro risks are hedged, and diversification and liquidity are optimized.
We locate serious opportunities for trading and investment.
We are prepared for market volatility, and believe that an emphasis on both risk and return achieves great performance.
We follow a multi-faceted approach, mixing relative value, directional and hedging strategies.
Our portfolios are constructed by combining an ability to take long and short positions, use derivatives when appropriate and employ prudent leverage.
Underlying all our operations we have three simple principles:
We don’t follow the herd and neither are we intentionally contrarian investors.
We are independent in the sense that, whether others are doing the same or not, we pursue our investments and initiatives.
To succeed in the crypto-assets space, consistent good judgment is required.
We gather the most up-to-date information and apply proprietary research to ensure our decisions are made as clearly as possible.
Once we have developed a plan or a strategy, we pursue it with vigor, persistence and passion.
Our system is data-driven, risk managed and flexible.
Our investment mechanism is focused on data and an understanding of market behavior.
Technology is at the core of our capabilities for research and investment capabilities and it forms the foundation of our company culture.With this focus, our researchers can develop, simulate, implement, and monitor our strategies with efficiency and speed.
Incremental & Adaptive
Our process is iterative, constantly seeking improvements and fine-tuning. New data is constantly being fed into and evaluated against various models. This helps strategies keep pace with shifts in regimes.
We firmly believe that good risk management is dependent on our on-going research and assessment of our investment strategies.
Using a diverse portfolio of strategies to create a robust global portfolio.