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Crypto Fund Manager

Why BOOST Capital Fund Exists — And Why It Wins

At BOOST Capital Fund, our core belief is simple:
“Consistent profits come from disciplined strategies, not hype.”
The cryptocurrency market is filled with noise—rug pulls, pump-and-dumps, influencer-driven meme coins. Our mission is to cut through the chaos, identify real opportunities, and deliver institutional-style portfolio management on a decentralized platform.

We follow a multi-tiered investment approach designed to balance growth and capital preservation

Our Strategy

Fundamental Research

We identify projects with strong teams, clear utility, active development, and growing communities.
Narrative investing: Positioning ahead of themes like RWAs, DePIN, modular blockchains, and AI x crypto.

Technical & On-Chain Analytics

Advanced charting, support/resistance mapping, and volume profiles inform our entries and exits.
We track wallet flows, token unlocks, and developer activity via on-chain tools.

Capital Allocation Discipline

No YOLO bets. Every position is scaled with clear stop-loss and take-profit parameters.
We overweight high-conviction positions and de-risk aggressively during volatility.

Hyper-Active Risk Management

Dynamic exposure management to preserve capital during downtrends.
Portfolio rebalancing to keep winning trades active and underperformers trimmed or exited.

Crypto Fund Manager

Why It Works

Alpha Focused: We chase asymmetrical opportunities—projects with 5x–50x upside potential, not just blue chips.

Short-Term Agility, Long-Term Vision: We can pivot daily, but we always track macro cycles and seasonal momentum.

Skin in the Game: The fund manager has significant capital invested alongside LPs.

Crypto Fund Manager

Our Edge

Experience

Years of navigating bull and bear markets with performance to show.

Access to Private Alpha

Early-stage project alerts, launchpad monitoring, and real-time signals for entries and exits.

Data-Driven Decisions

Backed by TradingView algorithms, signal alerts, and deep TA.

“Preserve capital. Protect downside. Compound the upside.”

Risk Philosophy

Crypto is volatile. That’s why we:
Diversify across sectors and tokens

Use position sizing to control risk

Exit quickly on invalidations

Maintain a strong cash buffer during uncertain conditions

Crypto Fund Manager

Our Goal

Outperform the market with less risk and greater transparency.

We’re not trying to “beat Bitcoin”—we’re here to multiply capital responsibly, month after month, using professional-grade risk controls and research.

This fund is ideal for

Who Should Join

Long-term investors who want expert-managed exposure

Traders who want signals but not the stress

Anyone tired of rugs, scams, and fake hype