Institutional quantitative investment manager for global digital assets.

Institutional multi-strategy digital-asset management through non-custodial, client-controlled accounts. No funds, trading instructions or API keys are accepted on this website.

Engineering & infrastructure team

  1. $200M+Assets under management
  2. 2017Founded
  3. $100B+Annual trading volume
  4. 8 YearsLive operating record

Every strategy must pass a disciplined review before entering the portfolio.

A four-part admission framework evaluates strategy integrity, portfolio fit, risk controls, and documentation governance, with every decision fully traceable.

Strategy register

Record each candidate strategy’s rationale, applicable conditions, failure cases, parameter version and owner.

Portfolio assessment

Record correlation, capacity, liquidity, drawdown paths, allocation rules, weights and change rationale; assessment does not equal admission.

Risk admission

Review exposure, leverage, liquidity, execution and extreme-event requirements, then record thresholds, response procedures and owners.

Material management

Maintain material registers, evidence status, approval records and access permissions across public, NDA and client-specific tiers.

Risk management,
built into every stage.

From pre-admission review and ongoing monitoring to extreme-event response, we maintain a consistent framework of risk limits, escalation triggers, and clear accountability.

Abstract 3D form showing a green core enclosed by transparent constraints

Every decision should have a clear owner
and a traceable record.

Responsibilities are clearly assigned across decision-making, execution, monitoring, reporting, and escalation—with records maintained for review.

DECISIONS & CHANGES

Document the basis for every change.

  • Strategy admission, suspension, recovery, and exit
  • Parameter and allocation changes
  • Decision ownership and approval history
MONITORING & ESCALATION

Turn exceptions into defined actions.

  • Exposure and liquidity reviews
  • Execution quality and abnormal conditions
  • Predefined triggers and escalation paths
REPORTING & RECONCILIATION

Maintain consistent, reviewable records.

  • Defined data sources and calculation methods
  • Reporting schedules and exception logs
  • Named review and sign-off responsibilities

Access expands as
due diligence progresses.

Public pages establish an accurate understanding. Sensitive materials enter review only after qualification, confidentiality and access scope are defined.

  1. 01

    Assess positioning, method and boundaries

    • Institutional positioning and audience
    • Method and risk principles
    • Website scope and account boundaries
  2. 02

    Review approved materials under confidentiality

    • Entity documents and authority matrices
    • Risk rules and performance methodology
    • Commercial terms and evidence status
  3. 03

    Keep operating records current

    • Account configuration and permission changes
    • Periodic reports and incident notices
    • Risk communication and response records

Team education background

Institutional quantitative investing
is built on multidisciplinary expertise.

Team education spans financial engineering, applied mathematics, statistics and computer science.

Structured review
turns information into
clear, traceable decisions.

Through objective setting, scope definition, document verification, and written records, each step is supported by clear rationale and accountability.

  1. 01

    Define Objectives

    Clarify institutional objectives, key questions, and expected outcomes.

  2. 02

    Define Scope

    Set clear boundaries across applicable entities, regions, services, and roles.

  3. 03

    Verify Information

    Review relevant information within agreed scope and access permissions.

  4. 04

    Document Conclusions

    Record key judgments, responsibilities, and next actions.

Rivendell Holdings Investment

Explore a disciplined framework
for institutional digital
asset management.

Explore our strategy framework, risk controls, and engagement model.

Contact Our Team

Frequently asked questions

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No. Client assets remain in a client-designated exchange, custodian or client-owned account; this website does not accept funds.