CryptoGain Product FAQ

What is CryptoGain?

CryptoGain is a crypto-asset management product that seeks to secure robust earnings exceeding those of similar products for users by selecting optimized trading pairs and strategies under strict investment risk controls. The trading team selects structured products from the VETA platform based on current market conditions, offering a comprehensive level of returns with low-risk profiles, providing investors with very low-risk and steady financial gains through diligent and responsible management.

Who is the target investor for CryptoGain?

CryptoGain is ideal for investors who do not wish to devote too much effort to product selection and would prefer to delegate management to a professional team. The returns on the VETA platform's CryptoGain primarily stem from its structured products, with VETA's professional research reports aiding in the selection of products that best suit the prevailing market conditions.

How is the return on CryptoGain calculated?

The product’s return is based on the estimated annual yield displayed on the page, with the specific return being calculated as the holding period multiplied by the expected annual yield.

What are the investment strategies and scope of the product?

The investment strategy is centered on "market liquidity investments primarily, supplemented by stablecoin reserves and spot-futures arbitrage investments," focusing on valuation risks and market liquidity fluctuations of the investment assets. The product mitigates the volatility risk of assets through dynamic adjustments of asset types and positions. All strategies employed are market-neutral with risk hedging mechanisms in place to help clients preserve and increase the value of their crypto assets, making it a low-risk, steady-return investment suitable for individual and institutional investors with a low-risk appetite who are after long-term, stable asset appreciation.

What is the background of the trading team?

Team members hail from renowned financial institutions both domestic and abroad and prestigious universities such as Tsinghua, Peking University, University Paris, and Columbia. The founder has held positions as the head of derivative operations at a top global fund management company, fund manager, CFA, FRM, and has worked at leading global stock exchanges, HSBC (France), and Canadian Imperial Bank of Commerce, among others, with over a decade of experience in index and derivative product research. In the crypto asset field, the team has several years of real trading experience with cryptocurrencies and has developed and executed comprehensive asset management strategies for portfolios worth hundreds of millions of dollars.

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