💻Vision
Team
Built by a team of Ph.D. researchers with backgrounds in hedge funds and high frequency trading companies.
Vision
Sharp Labs have accumulated decades of combined research experience and are on the pulse of advances in quantitative trading strategies.
At Sharp Labs, our goal is to democratize institutional-grade trading strategies for all DeFi users.
Risk Management
Sharp Labs takes serious consideration in all unseen aspects of capital security. Solutions are implemented to secure capital on CEXs:
Continuous Trading Optimization: Actively reduce the proportion of assets on CEXs.
Procured Insurance: Safeguard against all counterparty risks brought by CEXs. (Coming soon!)
NAV Tracker: Daily performance is tracked and verified by NAV Fund Administration Group, the most reputable administrators for top global hedge funds. For inquiries on NAV reports, please contact: Contact
Competitor Landscape
Sharpe Ratio
10+
< 2
Maximum Drawdown
< 0.5%
5-10%
Annual Return
20-30%
10-20%
The table above compares the performance of Sharp Labs and its competitors, highlighting the differences in the Sharpe ratio, maximum drawdown, and annual return. Sharp Labs demonstrates a superior Sharpe ratio, lower maximum drawdown, and higher annual return compared to its competitors, which serves as an indicator of better risk-adjusted returns and overall performance.
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