Comprehensive, multi-strategy investment approach
Institutional-grade exposure to emerging digital asset strategies.
The Galaxy Vision Hill Multi-Strategy Fund of Funds is one of the first and longest running dedicated multi-strategy FoFs in the digital asset market with a successful 3-year track record of investing in high quality digital asset manager strategies.
Deep value research + tactical, catalyst and event driven positioning
High conviction asset selection
"Risk on" / "risk off" models
Algorithmic momentum, trend following, mean-reversion, arbitrage and HFT systematic trading
Credit and yield driven strategies with digital asset collateral
Options, derivatives and volatility strategies
Finance very early development of new projects
Equity, SAFTs, SAFEs, seed, series and pre-sale investors
Passive strategies offer predictable and dedicated exposure to certain crypto assets
Single asset (e.g. BTC or ETH) or diversified index exposure depending upon the product
Galaxy Vision Hill
Providing simple and secure access to the emerging crypto asset class via institutional-grade investment vehicles
In May 2021, Galaxy Digital acquired Vision Hill Group, an institutional-grade multi-manager crypto funds platform.
Galaxy Vision Hill sits within the Galaxy Fund Management brand and combines Galaxy’s strong crypto community connectivity with Vision Hill’s existing market intelligence, track record, and history of deep manager diligence in the space.
is our edge
Multi-Strategy Fund of Funds
Proprietary analytics models provide visibility of top-performing strategies. VISIONTRACK is a market leading database of crypto hedge fund performance and buy-side market intelligence. Better data leads to smarter investment decisions.
Exceptional connectivity throughout the blockchain and digital assets ecosystem. Galaxy Vision Hill leverages access to hard-to-reach opportunities and, in some cases, access to more favorable investment terms, reduced minimums, reduced fees, and/or capacity-constrained opportunities.
Extensive understanding across portfolio and risk management, due diligence, and valuation.