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Make the Impossible Happen
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About US

Proton Capital is a leading investment management firm dedicated to partnering with the world’s most sophisticated institutional investors. We combine deep market insight with advanced technology to deliver differentiated, data-driven strategies.

Our investment philosophy is grounded in a deep, ongoing effort to understand the underlying drivers of global markets and economic behavior. We leverage enduring investment principles—systematically tested through rigorous research — and bring them to life through advanced quantitative models and algorithmic execution. Through disciplined execution and adaptive portfolio design, Proton Capital seeks to generate consistent, risk-adjusted returns across all market cycles.

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LIQUIDITY SOLUTIONS

Trusted by top institutions to shape liquid, efficient markets

Proton Capital is a premier global liquidity provider and market maker in the digital asset ecosystem. Our mission is to enhance market efficiency by delivering deep, reliable liquidity. Leveraging proprietary infrastructure and a decade of trading expertise, we support institutional clients with consistent liquidity, tighter spreads, and smoother price discovery.

With seamless integration across centralized and decentralized venues, we help partners stabilize markets, enhance user experience, and build long-term trading ecosystems. Our institutional-grade technology and performance-driven approach make us a trusted partner at the center of crypto market infrastructure.

Asset Management

Institutional asset management solutions for digital markets

At Proton Capital, we provide institutional-grade asset management solutions rooted in quantitative research, strategic diversification, and disciplined risk management. For decades, our team has delivered consistent, risk-adjusted performance across market cycles by combining deep market access with proprietary algorithmic strategies.


Our expertise spans high-frequency trading, statistical arbitrage, options, and long/short strategies — each designed to perform across diverse market conditions. By leveraging advanced architecture and data-driven insights, we tailor investment solutions to meet the evolving needs of clients.

With robust risk controls, third-party custody, and rigorous client reporting, we prioritize security, transparency, and operational integrity. Our approach is built to complement traditional portfolios and deliver resilient, uncorrelated returns in today’s dynamic financial landscape.

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ARBITRAGE STRATEGY

A market-neutral strategy designed to exploit inefficiencies in the digital market, generating returns from multiple arbitrage opportunities.

DELTA NEUTRAL OPTION STRATEGY

A delta-neutral strategy designed to capture volatility risk premiums and dynamic hedging opportunities in the digital market, delivering stable returns with reduced risk.

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