
Caerus Global Management is a multi-strategy digital asset manager, active since 2019. The firm applies a disciplined, quantitative methodology across crypto markets, with a mandate centred on preserving and compounding capital over the long term.
Investment decisions are governed by defined process rather than discretion, supported by systematic risk controls at every stage of capital allocation.
01
Multi-Strategy Mandate
Capital is deployed across complementary strategies within digital asset markets, reducing reliance on any single source of return.
02
Quantitative Process
Allocation and risk decisions follow a defined, repeatable methodology, applied consistently across market conditions.
03
Risk Management
Position sizing and exposure limits are set and monitored systematically, with capital preservation treated as a primary objective.
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