We strictly evaluate our global asset management partner candidates based on several criteria, including their organization structure, operation strategy, and proven record of more than 18 months of asset management. We manage our partners thoroughly after the partnership selection as well.
In particular, we take a closer look at their operation strategies. We never select teams with “buy low/sell high” strategies. Our partners are teams conducting low-risk and high-frequency trading by utilizing market inefficiency. It is important to prove that their strategies are not affected by the price volatility of BTC and ETH.
Furthermore, we take various due diligence for mutual trust building and check the stability by conducting a test with a small amount.
Only those candidates who made the final cut will be selected as our partners.
Systematic risk management and verification system on partners:
Once our partners are selected, they will start off with a small number of assets and gradually increase according to the evaluation results held regularly. We continue to define risks in various aspects and conduct continuous monitoring and periodic inspections.
What are the criteria to be an asset management partner of Haru Invest?
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