Digital Assets

Crypto & digital assets

Regulated, custodied exposure to leading digital assets and tokenised instruments, managed with institutional risk controls.

Abstract glowing network of gold tokens over a deep navy background
Overview

Digital assets have matured from a speculative curiosity into an emerging institutional asset class, supported by regulated custody, clearer rules, and deepening liquidity. Centrum Finance treats them with the same rigour we apply to any other allocation.

We combine long-horizon conviction positions in the most established digital assets with active risk management — position sizing, volatility controls, and clearly defined exit discipline. This is not trading for its own sake; it is measured exposure to a structural shift in how value is stored and moved.

Security is foundational. Assets are held with licensed custodians using insured cold-storage arrangements, and on-chain holdings remain fully transparent and auditable.

Cold-storage custody
Insured

Cold-storage custody

Volatility & sizing controls
Managed

Volatility & sizing controls

Transparent holdings
On-chain

Transparent holdings

What defines it

The characteristics that matter.

Licensed custody

Digital assets are held with regulated custodians in insured cold storage, never on unsecured exchange wallets.

Conviction positions

We concentrate on established, liquid assets with durable network effects rather than chasing short-lived narratives.

Volatility management

Position sizes are set to a portfolio's risk budget, and exposure is trimmed or added as conditions warrant.

Regulatory alignment

We operate within evolving regulatory frameworks and work only with counterparties that meet compliance standards.

On-chain transparency

Holdings are verifiable on-chain, giving investors a level of auditability few asset classes can match.

Tokenised instruments

Where appropriate, we access tokenised real-world assets that bring blockchain efficiency to traditional exposures.

How we invest

A disciplined path from thesis to return.

  1. 01

    Define the risk budget

    We agree how much volatility a portfolio should carry, sizing digital-asset exposure to complement — not dominate — the whole.

  2. 02

    Select and custody

    We select assets on fundamentals and liquidity, then secure them with licensed, insured custodians.

  3. 03

    Manage actively

    We monitor markets continuously, rebalancing and applying volatility controls against the agreed risk budget.

  4. 04

    Report transparently

    You receive clear reporting on holdings, performance, and on-chain positions, free of jargon.

Approached with discipline and secured with institutional custody, digital assets can add differentiated growth to a diversified portfolio. Centrum Finance provides that exposure without compromising on security or oversight.

Talk to our team about how a measured digital-asset allocation could fit within your broader strategy.

Request access

Begin a conversation with our investment team.

Centrum Finance works with qualified private and institutional investors. Arrange a confidential introduction with an advisor.