/ funds (sp3)

Delta Neutral
Fund SP3

Delta Neutral Fund SP3

The Delta Neutral Fund SP is a systematic, multi-strategy vehicle engineered to deliver consistent, market-independent returns through the exploitation of structural inefficiencies in digital asset markets.


Figures reflect strategic performance since Jan 2022. Data as of October 2025.

01.

Maintains continuous delta hedging across instruments and venues, eliminating exposure to directional market movements while capturing pure alpha.

02.

Monetizes funding-rate differentials, basis spreads, and cross-venue arbitrage opportunities between perpetual, futures, and spot markets.

01.

Maintains continuous delta hedging across instruments and venues, eliminating exposure to directional market movements while capturing pure alpha.

02.

Monetizes funding-rate differentials, basis spreads, and cross-venue arbitrage opportunities between perpetual, futures, and spot markets.

02.

Monetizes funding-rate differentials, basis spreads, and cross-venue arbitrage opportunities between perpetual, futures, and spot markets.

03.

Employs adaptive execution models and real-time exposure monitoring to ensure precise neutrality, disciplined sizing, and volatility control.

03.

Employs adaptive execution models and real-time exposure monitoring to ensure precise neutrality, disciplined sizing, and volatility control.

04.

Institutional-grade custody via Copper and Ceffu enables off-exchange settlement, full asset segregation, and minimized counterparty risk.

04.

Institutional-grade custody via Copper and Ceffu enables off-exchange settlement, full asset segregation, and minimized counterparty risk.

DOWNLOAD DOCUMENTS
DOWNLOAD DOCUMENTS

Please fill out the form to download Onyx Delta Neutral Fund Factsheet.

Please fill out the form to download

Onyx Delta Neutral Fund Factsheet.

APR: 12.54%

Sharpe Ratio : 15.82

Avg. Drawdown: 0.06%

APR: 12.54%

APR: 12.54%

Sharpe Ratio : 15.82

Sharpe Ratio : 15.82

Avg. Drawdown: 0.06%

Avg. Drawdown: 0.06%

/ funds (sp3)

Delta Neutral

Fund SP3

The Delta Neutral Fund SP is a systematic, multi-strategy vehicle engineered to deliver consistent, market-independent returns through the exploitation of structural inefficiencies in digital asset markets.


Figures reflect strategy performance since Jan 2022. Data as of October 2025.

01.

Maintains continuous delta hedging across instruments and venues, eliminating exposure to directional market movements while capturing pure alpha.

01.

Maintains continuous delta hedging across instruments and venues, eliminating exposure to directional market movements while capturing pure alpha.

02.

Monetizes funding-rate differentials, basis spreads, and cross-venue arbitrage opportunities between perpetual, futures, and spot markets.

02.

Monetizes funding-rate differentials, basis spreads, and cross-venue arbitrage opportunities between perpetual, futures, and spot markets.

03.

Employs adaptive execution models and real-time exposure monitoring to ensure precise neutrality, disciplined sizing, and volatility control.

03.

Employs adaptive execution models and real-time exposure monitoring to ensure precise neutrality, disciplined sizing, and volatility control.

04.

Institutional-grade custody via Copper and Ceffu enables off-exchange settlement, full asset segregation, and minimized counterparty risk.

04.

Institutional-grade custody via Copper and Ceffu enables off-exchange settlement, full asset segregation, and minimized counterparty risk.

DOWNLOAD DOCUMENTS

Please fill out the form to download

Delta Neutral Fund Factsheet.

APR: 12.54%

APR: 12.54%

Sharpe Ratio : 15.82

Sharpe Ratio : 15.82

Avg. Drawdown: 0.06%

Avg. Drawdown: 0.06%

Onyx Fund SPC is a Cayman Islands Segregated Portfolio Company authorised by the Cayman Islands Monetary Authority (CIMA Ref. 424056). OnyxIM Ltd (BVI 2181520) acts as General Partner and Portfolio Manager. This website is for informational purposes only and does not constitute investment advice, an offer, or a solicitation. Access is restricted to professional, qualified, or well-informed investors and is not intended for retail investors. The content is not directed at U.S. Persons (as defined under Regulation S of the U.S. Securities Act of 1933 and the U.S. Investment Company Act of 1940), except where an applicable exemption applies. Where Onyx is not licensed or otherwise authorised to market, access to the Cayman fund is available only via reverse solicitation, at the investor’s own initiative (e.g., in the EU/UK the fund is not marketed within the meaning of AIFMD and may be accessed only on that basis). Certain strategies may also be available through regulated AMC wrappers (ISIN-listed) distributed by licensed issuers to professional investors, enabling compliant onshore access (including EU/UK), subject to eligibility. Use of this website and any related materials is subject to the laws and regulations of each jurisdiction. Users are solely responsible for ensuring their access complies with those requirements.

OnyxIM Ltd (BVI 2181520) | General Partner & Portfolio Manager of Onyx Fund SPC (CIMA Ref. 424056)
© 2025 Onyx Fund SPC | All Rights Reserved

OnyxIM Ltd (BVI 2181520), Floor 6, Water’s Edge Bldg 1 Wickham’s Cay II, Road Town, Tortola, British Virgin Islands

Onyx Fund SPC is a Cayman Islands Segregated Portfolio Company authorised by the Cayman Islands Monetary Authority (CIMA Ref. 424056). OnyxIM Ltd (BVI 2181520) acts as General Partner and Portfolio Manager. This website is for informational purposes only and does not constitute investment advice, an offer, or a solicitation. Access is restricted to professional, qualified, or well-informed investors and is not intended for retail investors. The content is not directed at U.S. Persons (as defined under Regulation S of the U.S. Securities Act of 1933 and the U.S. Investment Company Act of 1940), except where an applicable exemption applies. Where Onyx is not licensed or otherwise authorised to market, access to the Cayman fund is available only via reverse solicitation, at the investor’s own initiative (e.g., in the EU/UK the fund is not marketed within the meaning of AIFMD and may be accessed only on that basis). Certain strategies may also be available through regulated AMC wrappers (ISIN-listed) distributed by licensed issuers to professional investors, enabling compliant onshore access (including EU/UK), subject to eligibility. Use of this website and any related materials is subject to the laws and regulations of each jurisdiction. Users are solely responsible for ensuring their access complies with those requirements.

OnyxIM Ltd (BVI 2181520) | General Partner & Portfolio Manager of Onyx Fund SPC (CIMA Ref. 424056)
© 2025 Onyx Fund SPC | All Rights Reserved

OnyxIM Ltd (BVI 2181520), Floor 6, Water’s Edge Bldg 1 Wickham’s Cay II, Road Town, Tortola, British Virgin Islands

OnyxIM Ltd (BVI 2181520), Floor 6, Water’s Edge Bldg 1 Wickham’s Cay II, Road Town, Tortola, British Virgin Islands

Onyx Fund SPC is a Cayman Islands Segregated Portfolio Company authorised by the Cayman Islands Monetary Authority (CIMA Ref. 424056). OnyxIM Ltd (BVI 2181520) acts as General Partner and Portfolio Manager. This website is for informational purposes only and does not constitute investment advice, an offer, or a solicitation. Access is restricted to professional, qualified, or well-informed investors and is not intended for retail investors. The content is not directed at U.S. Persons (as defined under Regulation S of the U.S. Securities Act of 1933 and the U.S. Investment Company Act of 1940), except where an applicable exemption applies. Where Onyx is not licensed or otherwise authorised to market, access to the Cayman fund is available only via reverse solicitation, at the investor’s own initiative (e.g., in the EU/UK the fund is not marketed within the meaning of AIFMD and may be accessed only on that basis). Certain strategies may also be available through regulated AMC wrappers (ISIN-listed) distributed by licensed issuers to professional investors, enabling compliant onshore access (including EU/UK), subject to eligibility. Use of this website and any related materials is subject to the laws and regulations of each jurisdiction. Users are solely responsible for ensuring their access complies with those requirements.

OnyxIM Ltd (BVI 2181520) | General Partner & Portfolio Manager of Onyx Fund SPC (CIMA Ref. 424056)
© 2025 Onyx Fund SPC | All Rights Reserved

OnyxIM Ltd (BVI 2181520), Floor 6, Water’s Edge Bldg 1 Wickham’s Cay II, Road Town, Tortola, British Virgin Islands









Onyx Fund SPC is a Cayman Islands Segregated Portfolio Company authorised by the Cayman Islands Monetary Authority (CIMA Ref. 424056). OnyxIM Ltd (BVI 2181520) acts as General Partner and Portfolio Manager. This website is for informational purposes only and does not constitute investment advice, an offer, or a solicitation. Access is restricted to professional, qualified, or well-informed investors and is not intended for retail investors. The content is not directed at U.S. Persons (as defined under Regulation S of the U.S. Securities Act of 1933 and the U.S. Investment Company Act of 1940), except where an applicable exemption applies. Where Onyx is not licensed or otherwise authorised to market, access to the Cayman fund is available only via reverse solicitation, at the investor’s own initiative (e.g., in the EU/UK the fund is not marketed within the meaning of AIFMD and may be accessed only on that basis). Certain strategies may also be available through regulated AMC wrappers (ISIN-listed) distributed by licensed issuers to professional investors, enabling compliant onshore access (including EU/UK), subject to eligibility. Use of this website and any related materials is subject to the laws and regulations of each jurisdiction. Users are solely responsible for ensuring their access complies with those requirements.


OnyxIM Ltd (BVI 2181520) | General Partner & Portfolio Manager of Onyx Fund SPC (CIMA Ref. 424056)
© 2025 Onyx Fund SPC | All Rights Reserved