Digital Asset Fund (Digital Opportunities Class)

APIR:

Manager Summary

Digital Asset Funds Management (DAFM) is a Sydney based fund manager specialising in Cryptocurrency. DAFM's directors and founders, Clint Maddock and Mike Gilbert are also the founders of Ark International Group (AIG), an Australian owned proprietary trading company established in 2012. DAFM has a team of 29 financial markets and software professionals, who have decades of experience trading traditional financial markets.

Strategy Summary

The objective of the Fund is to generate profits by investing, directly or indirectly, in established cryptocurrencies using low risk arbitrage opportunities. The Digital Opportunities Class employs a high frequency inspired Market Neutral strategy trading 24/7 which uses a systematic approach designed to offer uncorrelated returns to the underlying highly volatile cryptocurrency markets.

Key Terms

Status: Open Inception Date: May 2021
Strategy: Digital Assets Style: N/A
Geography: Global Domicile: Australia
Investors: Wholesale Min. Investment: AU$ 100,000
Distributions: N/A Applications: Monthly
Fund Size: AU$ 13.93m Management Fee: 2.00%
Manager FUM: AU$ 26m Performance Fee: 25.00%

Key Statistics

Fund Index* Fund Index*
Mar 2024: 1.06% 13.94% Sharpe1: 1.09 0.38
1 Year: 11.56% 133.02% Sortino1: N/A 0.09
3 Years1,2: N/A N/A Best Month1: 28.17% 44.71%
5 Years1,2: N/A N/A Worst Month1: -5.20% -36.97%
Inception1,2: 20.96% 6.01% Volatility1,2: 16.57% 65.81%
Up-Capture1: 2% N/A Down-Capture1: -42% N/A
*S&P Cryptocurrency Broad Digital Market Index,   1Since May 2021,   2Annualised

Cumulative Returns
Fund Index

Digital Asset Fund (Digital Opportunities Class) - Cumulative Performance vs S&P Cryptocurrency Broad Digital Market Index

 

Drawdowns
Fund Index

Drawdown%

 
Fund Index

Quintile Ranking vs. Digital Assets Peer Group (11 funds) as at March 2024

1 Year
3 Year
5 Year
7 Year
Digital Asset Fund (Digital Opportunities Class)
S&P Cryptocurrency Broad Digital Market Index
Quintile Rankings display Key Performance Indicators (KPI's) against the fund's Peer Group. Each green square ranks the fund in one quintile (or 20%) of its peer group - five green squares indicate the fund is in the best quintile for each KPI. The performance of the peer group's underlying index is shown by a red dot.