Our Edge

Multi-Asset Strategies

Fully adaptable and uniquely pliant, our proprietary AI-driven algorithms can be applied across a variety of asset classes

Superior Non-Correlated Returns

With minimal correlations to the performance of any single underlying assets, institutional investors can generate outsized returns across markets

Systematic Risk Management

Using sophisticated and innovative in-house systems, we detect safe entry/exit points and meticulous cascade contingencies in volatile markets

Client Asset Custody

Holding full control and custody of one’s funds through the use of separately managed account solutions grants investors utmost safety and confidence

Automated Execution

Connecting accounts to our strategies via API, investors can enjoy full automation based on the power of AI, driven by the most cutting edge technology

Ultra-Low Latency & Slippage

Unmatched speed of execution creates ultra-accurate trading, thus maximizing potential returns while minimizing risk and slippage in volatile markets

Low-Frequency Turnover

Long-term trades corresponding with a limited execution monthly help maximize each and every market move while minimizing transaction costs

Zero-Conflict Performance Model

Tightly aligning our interests to our clients’, our pricing models are solely performance-based, ensuring any assessments are contingent on positive returns

EndoTech AUM:

$ 100 M +

Global Employees:

0 +

How it works?

The Modern Investment

The Modern Investment Landscape Demands Unparalleled Flexibility & Automation

Our systems filter through market noise to capture unique market opportunities using the power of AI, coupled with advanced proprietary technology.

  • Full Automation
  • Client Custody Of Funds
  • Variety Of Assets & Strategies

“Buy & Hold”

“Buy & Hold” Compared To Active Management of Cryptocurrencies

Buying and holding may feel intuitively correct in the world of cryptocurrencies, yet the opposite is true. Due to their volatile nature, holding digital currencies have various weaknesses to note:

The rigidity associated with holding various coins limits liquidity and carries a significant opportunity cost for missing concurrent market moves.

Moving in waves, a cryptocurrency asset can be in a bearish phase for significant timeframes, thus wiping out any unrealized returns.

When holding in a bullish market, you enjoy returns stemming from appreciation only, not from market volatility.

Managing funds in bullish and bearish markets generate returns alongside capital appreciation while remaining agile to capture all opportunities through the power of AI-based automation.

The Modern Investment

The Modern Investment Landscape Demands Unparalleled Flexibility & Automation

Our systems filter through market noise to capture unique market opportunities using the power of AI, coupled with advanced proprietary technology.

  • Full Automation
  • Client Custody Of Funds
  • Variety Of Assets & Strategies

10 000.00

Entry: Jan 14, 2018

29 000.00

Exit: Dec 13, 2018

290% Profit

28% Loss

Sample of Performance based on ETH Alpha Strategy

“Buy & Hold”

“Buy & Hold” Compared To Active Management of Cryptocurrencies

Buying and holding may feel intuitively correct in the world of cryptocurrencies, yet the opposite is true. Due to their volatile nature, holding digital currencies have various weaknesses to note:

The rigidity associated with holding various coins limits liquidity and carries a significant opportunity cost for missing concurrent market moves.

Moving in waves, a cryptocurrency asset can be in a bearish phase for significant timeframes, thus wiping out any unrealized returns.

When holding in a bullish market, you enjoy returns stemming from appreciation only, not from market volatility.

Managing funds in bullish and bearish markets generate returns alongside capital appreciation while remaining agile to capture all opportunities through the power of AI-based automation.

10 000.00

Entry: Jan 14, 2018

29 000.00

Exit: Dec 13, 2018

290% Profit

28% Loss

Sample of Performance based on ETH Alpha Strategy

1 440.00

Jan 14, 2018

88.00

Dec 13, 2018

94% Loss

Sample based on ETH-USD historical data

Alpha & Beta Strategies

To match our clients’ risk profiles, we currently offer 15 strategies that include leveraged options.

Long and short positions

ALPHA strategies require a margin account to execute both long and short positions. Our ALPHA strategies are characterized by higher risk but also more aggressive return potential.

long breakout trading

BETA strategies only engage in long breakout trading and do not require a margin account. Our BETA strategies take a less aggressive, more consistent approach for clients with lower risk tolerance.

Assets

ETH and BTC exhibit a strong correlation (0.87 as of July 8, 2021), meaning that we still have space for diversification within this pair. For those institutions which only care about accumulating more exposure to the underlying assets instead of fiat currencies, we offer ETH/BTC cross-pair trading that hedges exposure in Bitcoin instead of USD or USDT.

How to start

Registartion and setup

Exchange requirement

How to pay Fee

Company news

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