Who We Are.

The Multi-Strategy Quant Fund with a Difference.

Bloomstar Capital is a BVI multi-strategy quant fund. As a professional multi-manager quant hedge fund, we are primarily focused on delivering a premium client service through both a quantitative and diversified approach. Our dual quantitative diversified approach ensures that we both optimise and exploit market inefficiencies by using our proprietary algorithms, expert understanding of market fundamentals and sophisticated modelling.

Our Core Objective.
Our objective is to minimise your downsize risk over the short-medium term frequency whilst delivering both scalability & alpha. We offer a diverse portfolio of investible asset share classes, which combined with a range of premium strategy offerings ensures that your portfolio is running as smoothly as possible.

Introducing Bloomstar.

Globally focused multi-strategy hedge fund

Our core markets; TradFI (Equities, Equity Options, Futures and Futures Options), Crypto & Forex

Scalable and diversified investment strategy minimizes risk

Diverse portfolio of investible asset share classes with best-inclass client service

Our Investment Philosophy.

Every client is different and as such our multi-strategy based approach combines statistical and fundamentals analysis, enhanced machine learning as well as cutting edge data usage to invest across US equities and bonds.

We achieve this by offering several types of portfolio strategies, including:

  • A Unique Information-Edge Based With Approach Central Exchange Quant Strategies (CEQS)
  • Market Neutral Strategies With CEC/DEX Arbitrage and Liquidity Position
  • Monetized Positions With Strict Risk Control for Digital Assets

Our Unique Investment Value Propositions (UVP’s):

  • Industry Led-Expertise Coupled Deep Fundamentals Analysis
  • Innovative Risk Management Solutions with a Cutting-Edge Information Based Approach
  • Overcome Market Volatility though scalable investments
  • We can Accommodate Larger AUM’s
  • Align Digital Assets with Huge Potential Market Growth
  • Customized Investment Option with a Multi-Strat Fund Approach

Our Sub Strategies.

TradFi

Crypto

Forex

Risk First Mantra.

While risk strategies for different sub-funds may vary, we operate a comprehensive and cohesive approach to risk mitigation across the entire portfolio. The following strategies form the core of or risk-based approach:

  • Rigorous Analysis of the Unique Risks Facing Your Portfolio
  • Concentration Risk Mitigation Through Enhanced Modelling
  • Macro Risk Hedging to Mitigate High-Level Risk
  • Secure Custodianship of Your Assets
  • Layered Risk Management & Diversified Management
  • Investor Education and Transparency to Keep You Updated With the Latest Risk Vectors & Regulatory Outlook

Contact Us

Join our investor community and be a part of an innovative fund fit for the modern era.