Clarity over hype
We prioritize fundamentals, liquidity, and counterparty quality.
A next-generation investment & trading company focused on the digital-asset economy. We combine disciplined markets expertise, institutional-grade risk controls, and modern infrastructure to help clients access crypto markets responsibly.
Our vision is a world where access to digital assets is safe, transparent, and professionally managed. Our mission is to deliver sustainable, risk-adjusted exposure to crypto markets through sound investment processes, robust controls, and client-first service.
We prioritize fundamentals, liquidity, and counterparty quality.
Position sizing, hedging, and scenario testing drive every decision.
Clear reporting, costs you can understand, and 24/7 access to your data.
NovaPay provides managed strategies and trading solutions across major cryptoassets and select on-chain opportunities. We connect clients to vetted venues, streamline execution, and offer portfolio frameworks that match different risk profiles.
Spot and derivatives access to large-cap crypto, with liquidity routing across top exchanges and OTC counterparties.
Discretionary and rules-based strategies targeting growth, diversification, or capital preservation.
Conservative yield frameworks using short-duration, over-collateralized structures and regulated products where available.
Policy design, custody selection, and operational playbooks for corporates and family offices entering digital assets.
Guided access with clear risk profiles and periodic portfolio reviews.
Mandate-based execution, reporting APIs, and governance alignment.
Treasury diversification frameworks, accounting support, and controls.
Diversified, large-cap crypto exposure with active risk controls and dynamic hedging.
Rules-based trend strategies that adjust exposure during high-volatility regimes.
Conservative yield from basis trades, short-tenor structures, and regulated cash vehicles (where available).
White-glove execution, treasury segregation, and bespoke constraints for institutions.
Algorithmic order slicing, TWAP/VWAP, block liquidity, and post-trade TCA.
Daily NAV, risk reports, audit-ready statements, and API access to portfolio data.
Digital assets involve high risk, including market, liquidity, and technology risk. Returns are not guaranteed. Past performance is not indicative of future results. This page is for information only and is not investment advice.
Backgrounds in trading, risk, cybersecurity, and compliance.
Conflicts management, best-execution policy, and plain-English communication.
Risk committee oversight, documented controls, and periodic external reviews.
Objectives, risk tolerance, constraints, and time horizon.
Identity and source-of-funds verification.
Custody selection, funding rails, and reporting preferences.
Strategy allocation, execution plan, and risk budget confirmation.
Monthly reporting, quarterly reviews, and continuous risk monitoring.
We answer common questions about our platform. If you don't see yours, contact us.