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Orthogonal Trading exploits inefficiencies in the nascent digital asset markets by marrying a consistent positive carry arbitrage trading backbone with fat tail capture via intelligent systematic trend following and alpha-generative options strategies. This mix provides an all-weather investment vehicle that we believe will provide an unprecedented risk/return profile to our investors. Orthogonal Trading targets uncorrelated annualized returns of >50% with a sharpe ratio >3.5 and max monthly drawdowns of 5%.