Platinum MEV is a digital asset manager that focuses on finding and extracting value from nascent DeFi markets. Their strategies follow a mandate of stable asset exposure and is supported by well-defined benchmarks. Operations mainly consist of statistical arbitrage and liquidity provisioning governed by a set of public protocals. These protocols are selected to reflect internal risk management rules, fit regulatory criteria, and answer investor needs.
Platinum MEV Capital's investment policy and approach are targeted at extractable value. The asset manager aims to achieve consistent returns for investors by operating in a high liquidity environment and under the strongest security framework.
Arbitration between DEXes is the classic and most popular way to extract MEV. We work on several networks, ensuring the alignment of prices on different DEXs.
We participate in the liquidation of large positions on landing protocols.
We track large transactions and immediately send tokens to the liquidity pool in order to get the maximum commission for the exchange.
We keep records of funds in the pool of client tokens and, if necessary, equalize the ratio of funds if the assets are on different networks.
We carry out dex-marketmaking for our clients. We carefully manage our clients` positions, to get them the maximum benefit.
Smart contract interoperability enables operators to process automated transactions over multiple protocols without friction. DeFi infrastructure allows for a high turnover of assets, which increases the compounding effects from cash-and-carry opportunities.
Cross DEX Arbitrage Strategies. Designed to exploit market inefficiencies and price discrepancies among different DEXs.
Strategies developed by acting as an agnostic actor, checking liquidation levels, profiting from price discounts and maintaining price stability in the DeFi lending market.
We provide market-making services across the top decentralized exchanges, developing the best routing possible with fluid order processing. (Order Book and AMM).
Supporting price stability with tight liquidity
Designed to extract maximum value from protocols’ tokenomic models.
Designed to outperform traditional benchmarks by tilting the composition.
Long and Short. Designed to provide a positive return profile with low traditional asset correlation.
Effective way to limit losses in adverse markets. It enables our Fund to stick with long-term positions through a bearish market. The Platinum Fund approach favors cost-effective solutions that balance protection against dominant risks in a portfolio with long-run returns.