Mission
To provide a secure, high-performance digital asset investment that delivers consistent income with minimal risk and zero net asset erosion through smart arbitrage strategies, all while maintaining competitive investment costs.
Philosophy
We believe in the power of innovation to unlock new opportunities. Our philosophy focuses on consistency in income generation through data-driven risk management and a disciplined approach to the digital asset market.
Offering
We provide investment opportunities aimed at delivering steady returns denominated in leading digital assets—USDT, BTC, and ETH. Utilizing sophisticated market-neutral strategies, we deliver returns that protect your capital from market volatility.
AIFs We Offer
BUSDT AIF
Our USDT-denominated yield strategy offers stable, predictable returns in dollars, free from price volatility. With zero NAV erosion, it preserves capital and provides a strong hedge against digital asset fluctuations. Ideal for investors with BTC or ETH exposure, this approach delivers consistent returns regardless of market conditions.
BBTC AIF
Our BTC Yield strategy provides a sustainable stream of monthly bitcoin-denominated profits, tailored for dedicated Bitcoin "HODLERS." Designed for those who see Bitcoin as a long-term store of wealth, this straightforward approach reliably grows your Bitcoin portfolio while maintaining your exposure to the asset you trust.
BETH AIF
Our ETH Yield service delivers consistent Ethereum-denominated profits through risk-managed arbitrage strategies. Ideal for long-term investors, this approach minimizes market volatility while growing your portfolio, providing steady returns that enhance your ETH holdings securely.
About Us
Blockarb is a specialized digital assets fund aimed at delivering uncorrelated market returns by capitalizing on abundant opportunities within the digital assets market. The inherent volatility of this nascent market leads to significant pricing inefficiencies across various trading venues. We leverage these inefficiencies through advanced, technology-driven arbitrage strategies to generate consistent and stable returns, independent of market direction.
At Blockarb, we invest heavily in cutting-edge data and technology infrastructure that enables us to identify and exploit arbitrage opportunities with speed and precision, maximizing value for our investors.
A core aspect of our strategy is capital preservation. By focusing solely on market-neutral arbitrage strategies, we protect investor capital from NAV erosion and directional price volatility. This ensures a stable, secure environment for capital deployment and redemption, allowing investors the flexibility to seize new opportunities and maximize returns with confidence.

3.5%
Average monthly ROI
350 million+
UDST Asset under management
10,500+
BTC Asset under management
250,000+
ETH Asset under management
We are good at what we do
We excel in our field, leveraging a mix of expertise to establish an optimal environment for a resiliant digital asset portfolio that consistently outperforms across all market conditions.
Quantitative Research
With a relentless investment into research, we are always equipped with the right data to develop tailor made solutions and products best suited to an ever changing financial landscape.
Technology
Advancement in technology plays a great role in staying ahead of the times. Innovation plays a huge role in the funds ability to deliver the time tested profit it has come to be known with
Risk Management
A strict adherence to risk management not only guarantees that one does not give back profits to the market but also creates the perfect environment for asymmetric capital deployment and management.
Talent
We believe that diverse teams with complementary strengths are critical to sustainable success hence our dedicated investment into seeking, developing and managing talent from across the globe to manage our services.
Our Investment Process
BlockArb has a thorough and detailed investment process. The investment process is divided into 6 phases
Data Collection
In the first phase of our investment process we collect data from a variety of traditional and alternative sources.
Data Cleaning
We use proprietary automated algorithms to clean the vast amounts of data at our disposal.
Data Analysis
Our quantitative researchers analyze the data sets processed in the previous step using sophisticated and advanced statistical methods
Backtesting
After the data has been thoroughly analyzed, our quants apply the scientific method to the financial data
Pilot Test
After backtesting, we test them in a pilot live production environment with proprietary capital for a suitable period of time before offering them to our clients.
Deployment
Having confirmed that pilot trading returns are consistent with the backtest and what we expected, our investment team allows our clients to invest in the new investment product.
Our Clients
We work with entrepreneurs, corporate executives, angel investors, private wealth managers, and other high-net worth individuals who need to outsource the investment management process. When managing investments on behalf of high networth individual(HNWI) investors, we work closely with them to understand their investment goals, current financial situation and present to them our products that suit their taste as they choose.
Centralized Exchanges
For optimal service delivery, we strategically position our servers within highly liquid exchanges, ensuring minimal latency and swift market execution
Decentralized Exchanges
Utilizing meticulously designed algorithmic infrastructure, we capitalize on decentralized exchanges to generate enduring arbitrage returns.