Systematic Investment Management
We deploy proprietary algorithmic strategies across digital assets, from perpetual futures to prediction markets—fully tokenized, fully on-chain, fully verifiable.
Learn MoreThirtyfour Investments is a private investment company specializing in algorithmic and AI-driven systematic strategies across digital asset markets.
Our approach combines advanced machine learning, statistical modeling, and data analysis across multiple time horizons—from high-frequency execution to medium-term directional strategies—to identify and capture opportunities across the digital asset landscape.
We believe in the power of systematic, data-driven decision making—removing emotion and bias from the investment process to deliver consistent, risk-adjusted returns.
Zero management fees. We earn exclusively through profit sharing—fully aligned with performance, not assets under management.
Four complementary engines spanning directional, statistical, volatility, and prediction markets, designed to generate uncorrelated alpha across market regimes.
Momentum and trend-following across digital asset perpetual futures. Multi-phase optimization with overfitting prevention, 4-regime market classification, and AI-validated signal consensus across multiple timeframes.
Market-neutral pairs trading on decentralized exchanges, exploiting statistical relationships between correlated crypto assets. Cointegration-based pair selection with dynamic hedge ratios, independent of market direction.
Options-based strategies exploiting mispricings between implied and realized volatility, including term structure, skew, and gamma scalping with continuous delta hedging. In development for future offerings.
Multi-vertical arbitrage and market-making on Polymarket and other prediction platforms. Proprietary models detect mispricings across crypto, sports, politics, and weather verticals.
Pioneers in algorithmic trading since 2000, we have built our entire platform from the ground up. Every component—from signal generation to execution, risk management to analytics—is fully proprietary and under our complete control.
Owning the full technology stack gives us an unmatched speed of iteration. We adapt to shifting market conditions in hours, not weeks, deploying new strategies and refining models at a pace that off-the-shelf solutions simply cannot match.
Behind it all is institutional DNA forged over decades at leading global firms. We combine the rigour and discipline of traditional finance with the agility of a technology-first firm—data-driven at every layer, from research to live execution.
Every aspect of our operations lives on-chain—from capital custody to governance to performance reporting.
Net Asset Value updated every 5 minutes on Polygon. Positions across all strategies independently verifiable at any time—no quarterly reports, no waiting.
All capital held in a TreasuryGuard smart contract. Funds can only flow to governance-approved venues and back—neither the operator nor any trader can redirect capital.
Token holders vote on all material decisions. Two-tier governance with quorum thresholds and timelock delays ensures no single party can act unilaterally.
Profit sharing, liquidation preference, and capital controls are enforced by immutable smart contracts—not by promises, side letters, or trust.
Pre-Emptive Fraud Prevention
Our TreasuryGuard smart contract ensures capital can only flow to governance-approved venues and back. Neither the founder, the operator, nor any trader can redirect funds. Protections are not promised—they are physically enforced by code.
Proprietary trading infrastructure built entirely in-house, powering systematic alpha generation across digital asset markets.
Hot-swappable AI engines validate trading signals through multi-timeframe analysis, pattern recognition, and consensus-based decision making for high-confidence execution.
Direct API integration with major exchanges enables simultaneous strategy deployment, portfolio isolation, and low-latency order routing across digital asset markets.
Complete trading lifecycle management from parameter optimization and backtesting to live execution, with zero implementation drift between testing and production.
Dynamic position sizing based on signal strength, automated stop-loss management, portfolio-level exposure limits, and real-time risk monitoring across all strategies.
We deploy state-of-the-art infrastructure to ensure seamless 24/7 coverage of global digital asset markets. Our systems are built for speed, reliability, and scale.
Our servers are strategically located across multiple data centers worldwide, providing ultra-low-latency connectivity to major exchanges. Every component is designed with redundancy in mind—from network connections to execution engines—ensuring continuous operation even under adverse conditions.
Security is paramount. We employ institutional-grade protocols including hardware security modules, multi-signature wallets, and comprehensive monitoring systems to protect assets and maintain operational integrity around the clock.
The principles that guide every decision, from research to live execution, across all strategies and market conditions.
Every decision is backed by rigorous quantitative analysis. We let the data guide our strategies, continuously refining models based on empirical evidence.
Capital preservation is paramount. Our risk management framework ensures robust position sizing, drawdown controls, and real-time exposure monitoring.
Markets evolve, and so do we. We invest heavily in research and development to stay ahead of the curve and maintain our competitive edge.
All capital is held in smart contracts that enforce where funds can flow. Positions, NAV, and performance are verifiable on-chain in real time—trust the code, not the operator.
Interested in learning more? We'd like to hear from you.
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