Cryptocurrency Hedge Fund for Accredited Investors

Passive Return Potential Through Managed Digital Asset Strategies


FG Capital Advisors offers a professionally managed cryptocurrency hedge fund focused on discretionary and quantitative strategies across liquid digital assets. Our approach balances directional trading with capital preservation, and selectively reinvests realized gains into stable yield-generating opportunities.

Passive Return Potential Through Managed Digital Asset Strategies

This fund trades both spot and derivatives—including futures and perpetuals—with a blend of long/short directional exposure, arbitrage, and stablecoin yield harvesting. Portfolio construction and allocation reflect each investor’s risk profile while adhering to firm-wide controls aimed at protecting committed capital.

The fund accepts capital from verified accredited investors under Regulation D, Rule 506(c). The minimum subscription is USD 2.5 million, with a 30-day lock-up period post-deployment. Investors receive quarterly reporting, and audited financials are available to subscribed clients.

Risk Management

Internal limits on position size, loss thresholds and diversification guard against outsized drawdowns. Risk models run continuously.

Strategy Overview

Exposure to directional trades, futures arbitrage, and market-neutral strategies. Positions shift as volatility, liquidity, and return asymmetry evolve.

Fees & Expense Structure

Management fee: 2% per annum. Performance fee: 20% above an 8% hurdle, with high-water mark applied.

Redemption Structure

After the 30-day lock-up, investors may redeem with 30 days’ written notice. Redemptions follow the fund’s liquidity plan.

Subscription & Access

Accredited investor verification and KYC/AML onboarding are required before subscribing. Secure subscription documents via our client portal.

Custody & Administration

Assets held with regulated custodians such as Coinbase Custody and Fidelity Digital Assets. Independent administrator conducts annual audits and distributes NAVs quarterly.

Passive Yield Integration

Idle balances in stablecoins may be deployed to short-term yield programs in line with risk limits set by the investment committee.

Liquidity Management

The fund maintains sufficient liquidity to meet redemption requests and margin calls. Liquidity buffers are monitored closely to prevent disruptions.

Prospective investors must undergo verification to confirm accredited status. For onboarding requests and fund documentation, contact hedge@fgcapitaladvisors.com.

No investment may be accepted prior to satisfactory completion of qualification procedures, including KYC, AML screening, and eligibility review under applicable exemptions.

This communication is intended solely for individuals and entities that qualify as accredited investors under Rule 501 of Regulation D. The offering is made pursuant to Rule 506(c) and is not registered with the U.S. Securities and Exchange Commission. This is not a public solicitation. Past performance is not indicative of future results.

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