Atitlan Asset Management
Atitlan Asset Management is a London-based, FCA-regulated crypto-quant investment advisor that runs market-neutral multi-strategy funds and bespoke mandates for institutional allocators and corporate treasuries, using off-exchange FCA-registered custody and quantitative trading across arbitrage, momentum, and long/short strategies.
- Company typePrivate
- Founded2017
- HeadquartersCity Of London, United Kingdom
- Headcount1–10
- GTM typeB2B
- OfferingServices
What Atitlan Asset Management does
Atitlan Asset Management is a London-based FCA-regulated crypto-quant investment advisor founded in 2017 by Yuval Reisman. The firm manages institutional capital through market-neutral, multi-strategy quantitative approaches spanning arbitrage, momentum, and long/short strategies. Its product shelf comprises two flagship funds, the Bitcoin Multi-Strategy Fund (BTC-denominated) and the Diversified Alpha Fund (USD-denominated), complemented by Tailor-Made Portfolio Solutions for sophisticated clients since 2021, and a Digital Asset Treasury (DAT) Yield Optimiser for corporate treasuries and large BTC holders.
The firm's core technology is a quantitative trading platform executed across more than 60 trading pods through Segregated Managed Accounts (SMAs) on OKX, with assets held 100% off-exchange by Komainu, an FCA-registered custodian. This tripartite self-custody architecture is designed to eliminate exchange counterparty risk while preserving 24/7 trading capability, and managers never take custody of client capital. Performance fees are reinvested into the funds to align manager and investor interests.
Atitlan monetises through management and performance fees on fund AUM and bespoke mandates, with no public pricing or minimums disclosed. Distribution is direct to institutional allocators, family offices, hedge funds, and corporate treasuries via bespoke mandates and fund investments, with go-to-market heavily reliant on earned media in Bloomberg, Financial Times, and EUROMONEY, plus partnership-amplified content with Komainu and OKX. The firm operates as an Appointed Representative of Starmark Investment Management Limited (FRN: 190249) under FCA regulation and reports eight years of audited track record with reported yearly net returns above 20%.
Atitlan Asset Management firmographics
Firmographics- Name
- Atitlan Asset Management
- Legal name
- Atitlan Asset Management Limited
- Website
- https://atitlanam.com
- Company type
- Private
- Founded year
- 2017
- Operating status
- Operating
- Headcount range
- 1–10 employees
- Short description
- Atitlan Asset Management is a London-based, FCA-regulated crypto-quant investment advisor that runs market-neutral multi-strategy funds and bespoke mandates for institutional allocators and corporate treasuries, using off-exchange FCA-registered custody and quantitative trading across arbitrage, momentum, and long/short strategies.
- Ownership category
- akta.pro rank
Atitlan Asset Management industry classification
Industry- Product category
- Crypto Asset Management
- NAICS
- Portfolio Management and Investment Advice (523940), Securities, Commodity Contracts, and Other Financial Investments and Related Activities (523)
- SIC
- Investment Advice (6282), Security & Commodity Brokers, Dealers, Exchanges & Services (6200)
- akta.pro primary industry
- Managed Accounts, Separately Managed Accounts (SMA) & Funds Platforms (Crypto) (FSADAHAM)
- akta.pro secondary industry
- Hedge Funds — Commodity Systematic/CTA (Managed Futures) (FSAHAHAC)
Keywords
Where Atitlan Asset Management is headquartered
LocationHeadquarters
- HQ city
- City Of London
- HQ country
- United Kingdom
- HQ region
- Europe
Offices1 record
Markets served
Atitlan Asset Management business model
Business model- GTM type
- B2B
- Offering type
- Services
- Cost components
- Personnel, Technology or R&D, Operations, Marketing or Sales, Infrastructure
Revenue model
- Management Fees: Asset management fees charged on assets under management within the fund structures.
- Performance Fees: Performance-based fees on fund returns; performance fees are automatically invested back into the fund per the alignment of interests structure.
Pricing tiers
| Model | Billing | Price |
|---|---|---|
| Other | Multi-year contract | Bespoke institutional mandates for large sophisticated clients |
Go-to-market motion1 record
Distribution channels1 record
Marketing channels3 records
Atitlan Asset Management product offering
Product offeringCore offering
Atitlan Asset Management is a London-based, FCA-regulated investment advisor that manages market-neutral, multi-strategy quantitative crypto funds and bespoke digital asset mandates. It runs the BTC-denominated Atitlan Bitcoin Multi-Strategy Fund and the USD-denominated Atitlan Diversified Alpha Fund, a Digital Asset Treasury (DAT) Yield Optimiser for treasuries and large BTC holders, and Tailor-Made Portfolio Solutions with dedicated custody and exchange setups. All products are executed systematically across arbitrage, momentum, and long/short strategies via Segregated Managed Accounts with assets held 100% off-exchange under FCA-registered custody.
Product overview
Atitlan Asset Management is a London-based crypto investment firm offering a suite of institutional-grade digital asset investment products. The core offerings include two flagship funds: the Bitcoin Multi-Strategy Fund (BTC-denominated) and the Diversified Alpha Fund (USD-denominated), both employing multi-strategy, market-neutral quantitative approaches across arbitrage, momentum, and long/short strategies. These are complemented by Tailor-Made Portfolio Solutions for sophisticated clients seeking custom mandates, and the Digital Asset Treasury Yield Optimiser (DAT) for treasuries and large BTC holders seeking yield without market beta. All products leverage FCA-registered custody infrastructure and are designed to generate uncorrelated, risk-adjusted returns from crypto market inefficiencies.
Differentiator
Problem solved
Functional benefit
Brands
- Atitlan Bitcoin Multi-Strategy Fund: BTC-denominated fund generating steady uncorrelated returns through quantitative strategies
- Atitlan Diversified Alpha Fund
- Digital Asset Treasury (DAT)
Products and services
- Atitlan Bitcoin Multi-Strategy Fund A BTC-denominated fund that generates steady, uncorrelated, risk-adjusted returns through quantitative strategies exploiting crypto market volatility via a diversified, market-neutral approach. Invests across uncorrelated strategies including arbitrage, momentum, and long/short while holding assets 100% off-exchange with FCA-registered custody; targeted at BTC-native and institutional allocators.
- Atitlan Diversified Alpha Fund (YRD Capital) A multi-strategy, multi-manager USD-denominated fund investing in liquid, systematic crypto trading strategies designed to generate consistent, risk-adjusted returns by exploiting inefficiencies in crypto asset markets. Maintains low correlation to broader crypto markets through market-neutral and arbitrage-focused strategies.
- Tailor-Made Portfolio Solutions Custom portfolio solutions for large sophisticated clients generating superior risk-adjusted returns from quantitative crypto strategies. Atitlan sets up a dedicated structure, custody, and exchange account per client, with assets kept in a walled garden where the client maintains capital control.
- Digital Asset Treasury Yield Optimiser (DAT) A custody-first, quant-driven treasury solution for treasuries and large BTC holders seeking yield without adding market beta. Blends long-term holdings, staking, arbitrage, and liquid yield opportunities to generate ongoing NAV accretion, executed off-exchange under regulated bank-grade custody with transparent daily NAV and institutional reporting.
Quantifiable outcome
- Over 20% yearly net return achieved in all years since 2017 launch
- +2 more outcomes
Companies that use Atitlan Asset Management
Customer profileNamed customers3 records
Segments4 records
Ideal customer profiles3 records
Atitlan Asset Management technology and API
TechnologyTechnology focussed No
API detail
- Has API
- No
- API docs
- API detail
Core technology
AI maturity
App detail
Integration2 records
Feature4 records
Atitlan Asset Management partnerships and signals
Strategic signalPartnerships
Two partnerships are on record, tiered core.
- KomainucoreRegulated digital asset custodian providing FCA-registered custody infrastructure and cold storage. Tri-party setup with OKX enables Atitlan to retain custody while executing entirely off-exchange, eliminating exchange counterparty risk. Partnership enables the Bitcoin Multi-Strategy Fund's off-exchange custody model.
- OKXcoreExchange platform enabling Atitlan to trade 24/7 through tri-party self-custody setup with Komainu. Settlement and mirroring solution enables institutional clients to access market-leading trading infrastructure without compromising custody. Operates via OKX Bahamas entity under The Bahamas DARE regime.
Scale indicators6 records
Recent moves8 records
Expansion highlights5 records
Atitlan Asset Management competitors and assessment
Company assessmentDirect peers
- Maven 11: Maven 11 is a crypto-native investment firm operating systematic and market-neutral digital asset strategies across funds and bespoke mandates. Closely comparable on product set, target investor base, and European institutional positioning.
- Adaptive Asset Management: Adaptive Asset Management is a London-based systematic crypto hedge fund running multi-strategy quant strategies across digital assets. Most direct comparable to Atitlan's Diversified Alpha Fund on strategy, structure, and institutional client base.
- Wintermute: Wintermute is one of the largest crypto-native market makers and systematic trading firms, operating across CeFi venues. Comparable on quantitative trading infrastructure and crypto trading expertise, though business model skews toward proprietary market making rather than third-party AUM.
- Pantera Capital: Pantera Capital is a US-based crypto-focused hedge fund and venture firm offering multi-strategy digital asset exposure. Comparable on the institutional crypto fund and bespoke mandate dimension, with broader venture exposure Atitlan does not offer.
Broad incumbents
- Man Group (Man AHL): Man Group operates Man AHL, one of the world's largest systematic/CTA managers. Comparable on quantitative trend, momentum, and managed-futures methodology, with Atitlan drawing talent from AHL; serves as a benchmark for institutional systematic credibility.
- Jump Crypto: Jump Crypto is the digital assets arm of Jump Trading, operating systematic and high-frequency trading strategies across CeFi and DeFi. Comparable on the quant and systematic-trading dimension but with substantially greater scale and prop-trading focus.
- Galaxy Digital: Galaxy Digital is a diversified crypto financial services and asset management firm offering trading, asset management, and treasury solutions. Comparable on the institutional crypto-asset-management and treasury-yield dimension but with much broader services and balance sheet.
- AQR Capital Management: AQR is a global systematic investment manager applying quantitative strategies across asset classes. Comparable on the multi-strategy systematic and market-neutral methodology, though AQR is far broader and only adjacent to crypto rather than crypto-native.
Emerging players
- Capula Investment Management: Capula is a London-headquartered systematic global macro and fixed income fund manager. Comparable on the institutional, multi-strategy systematic structure serving sophisticated allocators, though Capula is not crypto-native.
- Polychain Capital: Polychain Capital is a crypto-native investment firm running venture and liquid token strategies. Comparable on the digital asset fund-of-funds and institutional mandate dimension, but with a more venture-oriented approach rather than market-neutral quant.
Market position
Weaknesses5 records
Competitive moat6 records
Key risks5 records
Key highlights6 records
Customer concentration
Atitlan Asset Management social profiles
Digital presenceAtitlan Asset Management compliance and trust
Trust signalCompliance1 record
Atitlan Asset Management financial estimates
Financial estimateRevenue estimate
Valuation estimate
Atitlan Asset Management leadership team
Management profileNumber of profiles
Profiles4 records
Atitlan Asset Management funding detail
Funding detailFunding overview
Funding rounds
Investors
Funding detail is available on the Subscription and Enterprise plan.Contact sales →
Atitlan Asset Management M&A and investment
M&A and investmentM&A
Investments
M&A and investment is available on the Subscription and Enterprise plan.Contact sales →
Frequently asked questions about Atitlan Asset Management
What does Atitlan Asset Management do?
Atitlan Asset Management is a London-based, FCA-regulated investment advisor that manages market-neutral, multi-strategy quantitative crypto funds and bespoke digital asset mandates. It runs the BTC-denominated Atitlan Bitcoin Multi-Strategy Fund and the USD-denominated Atitlan Diversified Alpha Fund, a Digital Asset Treasury (DAT) Yield Optimiser for treasuries and large BTC holders, and Tailor-Made Portfolio Solutions with dedicated custody and exchange setups. All products are executed systematically across arbitrage, momentum, and long/short strategies via Segregated Managed Accounts with assets held 100% off-exchange under FCA-registered custody.
Is Atitlan Asset Management a public or private company?
Atitlan Asset Management is a private company. It is classified as founder individual operated bootstrapped and is currently operating.
When was Atitlan Asset Management founded?
Atitlan Asset Management was founded in 2017. It employs 1 to 10 people.
Where is Atitlan Asset Management based?
Atitlan Asset Management is headquartered in City Of London, United Kingdom, in the Europe region.
How does Atitlan Asset Management make money?
Two revenue lines are on record. Management Fees are the primary driver. The others are performance Fees.
Who are Atitlan Asset Management's main competitors?
Direct peers on record are Maven 11, Adaptive Asset Management, Wintermute and Pantera Capital. Broad incumbents are Man Group (Man AHL), Jump Crypto, Galaxy Digital and AQR Capital Management. Emerging players are Capula Investment Management and Polychain Capital.
Does Atitlan Asset Management have an API?
No public API is recorded for Atitlan Asset Management.
What industry is Atitlan Asset Management in?
Atitlan Asset Management's product category is Crypto Asset Management. Its primary akta.pro industry code is FSADAHAM, Managed Accounts, Separately Managed Accounts (SMA) & Funds Platforms (Crypto), with a secondary code of FSAHAHAC, Hedge Funds — Commodity Systematic/CTA (Managed Futures). Its NAICS code is 523940 and its SIC code is 6282.