Hybrid hedge funds
Long/short equity strategies adding a crypto sleeve. Multi-strategy funds running TradFi alpha alongside digital asset positions. One book, one risk profile, one investor letter.
HedgeGuard delivers dual-native portfolio management systems, supporting traditional and digital asset strategies within a unified platform. Eliminate bolt-ons: our solution integrates all asset classes, manages every portfolio, and provides intelligent business reporting, collaboration, and regulatory coverage for each team within a single organizational solution.
We run five funds — some crypto, some traditional — and HedgeGuard handles both in one system. That was the main reason we chose it. Very few platforms genuinely do both.
The interface has a very clear structure, which matters when you're moving between funds with different asset classes. The system covers both pre-trade and post-trade compliance checks, so we're not managing that separately.
What has stood out is the adaptability. We have unique requirements, and the system has been able to accommodate customised functions rather than forcing us to work around it. Support is always there and very responsive — that has been consistent.
And the price is fair for what it does.
Most legacy PMS platforms added crypto as a third-party module. The result: two books, two NAV calculations, two reconciliation streams. HedgeGuard was built dual-native — crypto isn’t an extension, it’s a first-class asset class in the same engine.
Bonds, equities, funds, BTC, ETH, stablecoins, DeFi positions — all priced, valued, and reconciled in the same daily cycle. One number, one source of truth.
A single PDF or data export covers your whole book. No stitched-together appendices for crypto holdings. Investors see one fund, not two.
UCITS rules apply to crypto exposure where required. Stress scenarios cover both books. KYC/AML, MiFID II, and crypto-specific rules in the same engine.
Fireblocks, Anchorage, Coinbase Custody, BitGo — integrated natively. AES-256 encryption and the same SOC 2 Type II control environment across the whole platform, not just the traditional side.
Traditional sources (custodians, prime brokers, market data, FIX venues) and crypto sources (CEX, custody, DeFi, on-chain) both flow into the same valuation engine. The book that emerges holds every position, regardless of asset class.
Long/short equity strategies adding a crypto sleeve. Multi-strategy funds running TradFi alpha alongside digital asset positions. One book, one risk profile, one investor letter.
You hold equities, bonds, funds, and a meaningful crypto allocation. You want a single statement, single tax view, and one place to monitor the whole estate.
You run TradFi today. You’re launching a digital asset strategy or sleeve. You need crypto operational rigor without disrupting your existing book.
The market offers many Portfolio Management System providers, but HedgeGuard was the only solution that met all of our operational and investment management requirements.
Edwin de Tredern · CEO, Alphacap Digital Asset Management
As our business grows, the platform and the supporting middle-office services scale with us, allowing our operating model to evolve without unnecessary complexity
Cyril Mayer - DG, IGEA Finance
The tool identifies precisely the risks we take, and handles every kind of asset.
Arnaud Chretien · President, Kanopy Asset Management
The crypto-native engine: multi-venue, custody integrations, DeFi tracking, on-chain reconciliation.
The TradFi side: holdings, valuation, multi-portfolio consolidation, audit trail.
100+ connections to traditional and crypto venues — the connectivity layer behind both sides of the book.
Book a working session. We’ll walk through your current TradFi and crypto setup, map the integrations, and show you what your consolidated book looks like.