Lionschain seeks to achieve superior risk adjusted returns in the crypto market via a multi-strategy approach. Crypto markets are unique in that the assets traded are both liquid and early stage / high risk. Investing smartly requires a combination of public market risk management skills, early stage VC analysis, and sector specific savvy.
Lionschain combines these skillsets to capture significant upside with reduced downside volatility. Lionschain identifies the highest quality assets through early stage analysis and protects funds from market volatility via multi-layered risk assessment. Lionschain additionally capitalizes on its sector specific expertise to proactively seek private investments when an opportunity is identified.