

INSTITUTIONAL CRYPTO EXPOSURE POWERED BY HFT STRATEGIES WITHIN A FULLY AUDITED AND REGULATED LEGAL FRAMEWORK
CUSTOM INVESTMENT SOLUTIONS FOR ASSET MANAGERS, FINANCIAL INSTITUTIONS, FAMILY OFFICES AND LIQUIDITY PROVIDERS



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6 strategies traded
Cross-exchange arbitrage, Algo-systematic, discretionary fund...

Sharp ratio > 2
Average sharp ratio across strategies traded is above 2.0.

+55 happy clients
Over 50 clients are confidently invested with F0v.

Target AUM 100Mio USD
Institutional investments projected at 100Mio USD by end of 2026.
INSTITUTIONAL CRYPTO HFT STRATEGIES
STRUCTURED. REGULATED. BUILT FOR PROFESSIONALS!
FORMATNULL ventures delivers high-frequency crypto trading strategies for institutional partners through regulated legal structures domiciled in various jurisdictions around the globe.
We work exclusively with qualified investors, asset managers, and financial institutions seeking systematic crypto exposure through rigorously backtested strategies within a robust governance framework.
SYSTEMATIC, ALGORITHMI HFT TRADING
Our strategies are based on:
Identification of crypto market microstructure inefficiencies
Cross exchange arbitrage
Proprietary quantitative models
Ultra-low-latency execution across multiple venues
Real-time risk monitoring and capital allocation
The objective is to generate consistent, market-neutral returns that are largely independent of broader cryptocurrency market cycles, with clearly defined performance metrics including Sharpe ratio, maximum drawdown, and other strategy-specific KPIs.
INSTITUTIONAL-GRADE LEGAL STRUCTURES
Our institutional contracts are designed for:
Asset managers and investment funds
Family offices and multi-family offices
Brokers, OTC desks, and liquidity providers
Institutions seeking systematic digital asset exposure.
INSTITUTIONAL-GRADE LEGAL STRUCTURES
FORMATNULL ventures operates within a regulated framework based in the Cayman Islands, a globally recognized jurisdiction for institutional asset management.
Our operating framework includes:
• Structures compliant with CIMA regulations
• Institutional-grade AML and KYC procedures
• Independent fund administration
• Regular external audits
• Transparent and timely financial reporting
• Clear segregation of management, administration, and custody functions
This structure enables our partners to operate within a legally robust, internationally accepted, and institutionally aligned environment.
B2B Solutions

Tailormade B2B contracts
With flexible trading and investment plans you enjoy the freedom of catering to your clients with the right risk to reward ratio, higher deposits usually come with increased profits, and all paramters like contract term and profitshare are up for adjustment to fit your and your customers needs. Talk to us!
Let’s discuss your needs.

Whitelabel conditons
We are currently developing a white-label solution that can be customized with your branding, allowing your clients to access a non-branded dashboard and reporting. As we scale, we can provide our trading dashboard on a custom domain tailored to your business. This development is ongoing, driven by real-world needs. Reach out to us for more information!
Contact us for further details.

RevShare with flex payouts
Not only do your clients earn passive income, but you will too. We offer a negotiable percentage of trading profits to our B2B partners. As a valued business partner, you can choose between payouts in USD, EUR, USDT, BTC, or XMR. Let's discuss further!

Priority Support
B2B partners enjoy priority support with dedicated hotlines and direct whatsapp chat also on weekends and holidays. Our support team speaks english, french, german and spanish and whatever the issue maybe, it will be addressed with absolute priority. Let's go!
Contact us
WHY PARTNER WITH FORMATNULL VENTURES
RISK MANAGEMENT & GOVERNANCE
Risk management is embedded at every level of our investment and operational processes. Our framework includes:
Real-time exposure monitoring across venues and strategies
Hard risk limits enforced at the strategy and portfolio level
Automated kill-switches and drawdown controls
Defined rulesets for each strategy traded
Strict separation between trading, risk, and operations
Core KPI is preservation of Capital
OPERATIONAL INFRASTRUCTURE
Our trading and operational infrastructure is built for high-frequency, multi-venue execution. Key components include:
Low-latency execution architecture
Direct API connectivity to major centralized exchanges
Redundant systems and failover mechanisms
Secure key management and access controls
Institutional-grade cybersecurity practices
This infrastructure supports scalability while maintaining operational resilience.
DUE DILIGENCE & ONBOARDING
We provide a structured and efficient onboarding process for institutional partners. This includes:
Delivery of full due diligence documentation
Eficently managed AML / KYC procedures
Operational and technical integration planning
Go-live support and post-launch monitoring
Our team supports partners throughout the entire lifecycle.
TRANSPARENCY & REPORTING
We provide institutional partners with clear, structured, and actionable reporting.
Reporting capabilities include:
Monthly and quartlery performance summaries
Strategy-level attribution and risk metrics
Exposure, leverage, and liquidity breakdowns
P&L reporting net of fees
Custom reporting formats upon request
All reporting is designed to meet institutional due diligence and oversight requirements.
INTEGRATION MODELS
We support multiple partnership and integration models depending on your business needs.
Available structures include:
Sub-advisory mandates
Co-managed or dedicated funds
Whitelabel investment solutions
Managed accounts (where applicable)
Revenue-share or fee-based structures
Each engagement is structured to align incentives and operational responsibilities.
COMPLIANCE & REGULATORY FRAMEWORK
Compliance is a core component of our operating model.
Our framework aligns with international best practices and includes:
Cayman Islands regulatory compliance (CIMA)
AML / KYC policies aligned with institutional standards
FATCA and CRS readiness
Internal policies and control frameworks
Ongoing regulatory monitoring
Independent 3rd party auditing
This ensures long-term regulatory compatibility across jurisdictions.



