At Monarq, everything begins and ends with data.
Monarq Asset Management is a multi-strategy investment firm decoding digital asset markets with scientific precision and continuous innovation.
While others see volatility, we see opportunity - transforming real-time data into consistent, risk-adjusted returns across market cycles.
Our team brings a rare blend of traditional risk discipline and crypto-native expertise, with an uncommon edge in quantitative strategies and options trading.

Our Funds
Our institutional digital asset funds are designed to deliver consistent performance through diversified strategies
Delta Neutral Multi-Strategy USD Fund
Targets consistent returns through arbitrage, volatility, and on-chain yield strategies
Delta Neutral Multi-Strategy BTC Fund
Seeks to grow bitcoin-denominated capital while minimizing directional risk
Directional Long/Short Fund
Captures upside through macro-driven exposure with institutional-grade risk controls