MNV CAPITAL | Home



Placeholder image



Corporate Overview


Headquartered in London, MNV CAPITAL LLP is a proprietary trading business founded as a partnership in 2016. We specialize in ALGORITHMIC TRADING OF DIGITAL ASSET MARKETS. The

FOUNDING PARTNERS
are ex-JP Morgan derivatives traders. We have three business lines:

LIQUIDITY PROVIDER
,
PORTFOLIO MANAGEMENT
, and
PROPRIETARY TRADING
.






MNV Capital acts as designated MARKET MAKER across numerous crypto-currencies and exchanges. With market-leading technology and an emphasis on ultra-low latency, we are able to provide reliable
24/7 LIQUIDITY
in any market condition. Working closely with both established and emerging digital asset exchanges we provide customized liquidity solutions across a wide range of instruments including
SPOT, FUTURES, SWAPS, AND OPTIONS
. Market making remains at the heart of the business and is
CENTRAL TO THE FIRM'S RESEARCH & DEVELEOPMENT
across all business lines.

MNV Capital’s OTC DESK offers
INSTANT EXECUTION
with fast
POST-TRADE SETTLEMENT
across all major digital and fiat currencies. And with multiple years’ experience of trading FX Options at a world class investment bank, the team has also developed proprietary models to be able to offer
BESPOKE DERIVATIVE
solutions for its clients. Since our inception in 2016, we have worked with a variety of clients including miners, exchanges, brokerage firms and traditional banks to
BRIDGE THE GAP INTO DIGITAL ASSETS
.



The INCR strategy is a HIGH FREQUENCY algorithmic trading strategy using
BTC FUTURES
. We offer the strategy in a
MANAGED ACCOUNT STRUCTURE
to clients. Clients retain full custody of assets but provide MNV Capital with trading access via API keys.

The strategy seeks to gain additional CRYPTO-ON-CRYPTO RETURNS by capturing fluctuations in the price of the specified crypto-currency through
SCALPING
as well as providing two-way liquidity in order to capture bid-offer spread through
MARKET MAKING
.



Leveraging our TALENT, CAPITAL and INFRASTRUCTURE, the firm seeks to identify trading opportunities and market–inefficiencies, using its discretion to deploy the firm’s capital. INNOVATION lies at the centre of our approach. This is achieved by close coordination between our

TECHNOLOGY
,
TRADING
,
RESEARCH
and
RISK-MANAGEMENT
.

Our tech-infrastructure and custom-built in-house software is
EVER-EVOLVING
whilst our trading ensures that the gap between theory and execution is bridged efficiently. Risk-management facilitates
EFFICIENT USE OF OUR CAPITAL
and, finally, our research sits in the middle of everything,
SEEKING AND SOLVING NEW INDUSTRY PROBLEMS
.