About Us

MCC IS A DIGITAL ASSET PRIVATE HEDGE FUND OF FUND'S

At MCC, we are a team of forward-thinking investors who are dedicated to leveraging the latest technologies and insights to deliver the best possible outcomes for our clients. Our biggest selling point is our commitment to Future Proofing investment outcomes, which means we analyze leading crypto regulations globally and conduct deep research and financial analysis of over 3000 crypto funds to identify the best investment opportunities. We employ an AI-assisted regulatory control framework that helps us identify and exploit regulatory safe opportunities in today's volatile crypto market, helping us deliver superior returns for our clients.

WHO IS MCC ?

As a team, we understand that Compliance and Risk Management are critical to responsible investing, which is why we place the utmost emphasis on these areas. By adopting a comprehensive and rigorous approach to compliance and risk management, we can strengthen investor protection and maximize returns for our clients. At MCC, we believe in making a difference in the world and in the lives of our clients, which is why we combine a responsible investment approach with cutting-edge technology and insights to deliver a truly unique investment experience.

Invest in the Future with MCC

Our Fund of Funds Drives Crypto Growth with Regulatory Safety

“Unleash the Power of Data”

Our Hybrid Analysts Offer Strategic Crypto Insights for Better Outcomes

STRATEGY

MANHATTAN CRYPTO CAPITAL STRATEGY

We utilised industry tested market research with focus on fundamental, technical, economical and regulatory analysis to build active fund Matrices with the goal to achieve impressive returns, investing in areas with large addressable market with huge sector opportunity growths.

Investor protection is at the core of our business model that’s why our model focuses on minimizing investment risk through strategic diversification.

Manhattan Crypto Capital Investments Vehicles

Yield Farming

Efficient Balance Sheet

Provision of liquidity to “Liquidity Pools”

Interest Rate Arbitrage

Borrowing and Lending

Funding Fee Arbitrage

Directional Algorithmic trading

Negative Gamma

Covered Call

Volatility Trading

Delta neutral

Options trading

Long and short trading strategies

Provision of liquidity

Leveraging

“Only when the tide goes out do you discover who's been swimming naked.”

— Warren Buffet

LIVE INTERVIEW

WATCH THE REPLAY

Simon Vandi discusses everything you need to know about crypto regulations – from classified laws that allow responsible safeguarding for all key participants in the market, to how the FTX market crash could have been prevented. You won’t want to miss this episode!

Our Hybrid Analysts Offer Strategic Crypto Insights for Better Outcomes

WE LOOK FOR FUNDS EMPLOYING A BALANCE INVESTMENT STRATEGY THAT ACCOMMODATES SOME OF THE FOLLOWING STRATEGIES:

Our strategy is to leverage cutting-edge technology and innovative approaches to analyse market trends, identify opportunities and risks, and make data-driven investment decisions that maximize returns and minimize risk.
We continuously monitor and adapt to changing market conditions and regulations, maintain strong compliance and risk management practices, and collaborate with leading industry experts and partners to stay ahead of the curve.
Our high-level Investment Philosophy focuses on:
  • Economic Analysis, Technical Analysis, Fundamental Analysis and Regulatory Analysis List item two.
  • Optimizing risk-adjusted returns and minimize drawdowns by opportunistically allocating into proven trading/investment strategies.
  • Analysing the volatility surfaces and determining the trading opportunities relevant to each proven trading/investment sub-strategy.Intrinsicly viral testing procedures with ideas.
  • Combining fundamental blockchain analysis and technical indicators to minimize risk.
  • Monitoring continuously and evaluating Portfolio Management or contingent liability transaction.

THEMATIC REGULATED INVESTMENT THESIS

Fundamental Analysis

  • Identifying Undervalued Sector Assets.
  • Target significant upside that pay a consistent dividend.

Technical Analysis

  • Leveraging technical analysis to time, entries and exists.
  • Business Rationale Application of DLTs.

Economic Analysis

  • Sector Analysis Target above average growth.
  • Economic environment Analysis.

Regulatory Analysis

  • Regulatory Status of Crypto.
  • Sufficient transparency.
  • Size liquidity and Volatility.
  • Adequacy and Suitability.
  • Risk Associated with Crypto & appropriateness of controls.

PORTFOLIO

MANHATTAN CRYPTO CAPITAL INVESTMENT STRUCTURE

Investor protection is at the core of our business model that’s why our model focuses on minimizing investment risk through strategic diversification.A high-growth fund that accesses a diversified basket of digital asset management to target superior risk-adjusted returns under various market cycles.

Our Investment Structure
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Hedge Funds
  • AI Hedge Fund
  • Quant Hedge Fund
  • Disruptive Hedge Fund
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Digital Ventures
  • ESG Renewable Energy
  • Web 3.0 || Metaverse
  • Own Ventures
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Hard Asset Tokenization
  • Digital Commodity
  • Digital Real Estate
  • Tokenization of Hard Assets
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Blockchain
  • Play to earn Gaming
  • NFTs, Utilities
  • Defi, DAO, DEX, DeVo
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Crypto
  • Cryptography Mining
  • Staking, Arbitrage
  • Yield Farming
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PORTFOLIO PERFORMANCE

Performance of Fund Managers in our portfolio the last year

MCC Vs Other Fund of funds Vs S&P 500 (Cumulative returns)

2021 Vs 2022 Vs 2023 TD (Feb) Crypto Hedge fund median performance comparison

2021 2022 2023 YTD(Feb)
Discretionary Long Only 107% -19% 10%
Discretionary Long/Short 107% -14% 18%
Quantitative Long/Short 77% -25% -1%
Multi Strategy 127% -53% -32%
Market Neutral 97% -2% -3%
Quantitavie/Algo 73% -5% -7%

2021 Vs 2022 Vs 2023 TD (Feb) Crypto Hedge fund median performance comparison

The above table shows year-on-year performance of various strategies deployed by Crypto Funds. Based on our sample data Multi strategy (32% 2023) has the most upside potential. From risk adjusted performace Market neutral strategy is most preferable with a -2% in 2022. On a median basis strategies had perforamce of 98% (2021), -20% (2022) & 8% (2023). The drop is performance attributed to at Marco Economic & regulatory events triggered massive market wide drawdown. As wider markets have stabalized by start of 2023 Investor sentiment moved again towards Crypto assets & funds driven by Banking crisis & concerns over traditional finance.

RISK PROFILE

MANHATTAN CRYPTO CAPITAL RISK PROFILE

Investor Protection is at the core of everything we do. Please request a copy of our Prospectus, including the Tear Sheet, Risk Factors, Key Information Document (KID), and all relevant materials and read before making an investment.

Request should be emailed to
investor.relations@manhattancrypto.capital

  • Please note that the target total return is not a prediction or guarantee of future performance and should not be relied upon as such. It is only intended to provide an illustration and is subject to various limitations.
  • Actual returns may differ significantly from the target returns and should not be expected to be the same. Investors should carefully consider all relevant information before making an investment decision.
Diversification does not guarantee investment returns and does not eliminate the risk of loss.
  • Investing in Crypto funds carries risks such as high volatility, regulatory uncertainty, security threats, liquidity concerns, and lack of diversification.
  • These factors can make it difficult for investors to determine the value of their investments and increase the risk of losing money.
  • It is important for investors to carefully consider these risks and consult with a financial advisor before making an investment decision Your capital may be at risk.