Years in Digital Assets
Years Investment Experience Managing Income portfolios
Firm Assets Under Management
Approach
Who We Are
Canary Asset Management LLC is the actively managed fund family and subsidiary of Canary Capital Group Inc.
Our leadership team brings deep institutional experience managing active digital asset strategies, macro portfolios, and income-focused derivatives strategies.
01
Research-Driven, Risk-Focused
Risk management is the foundation of our investment process. Portfolio allocations are designed around targeted risk levels, with asset selection driven by liquidity, diversification, and overall portfolio characteristics. Research and data inform every investment decision while strengthening our market intuition.
02
At the forefront of the Investment opportunity today
There are compelling opportunities today to incorporate Digital Assets into traditional investment portfolios. The cryptocurrency industry has undergone, and continues to undergo, a historic transition from unregulated offshore markets to regulated, onshore markets.
03
Systematic Income Across Market Regimes
Digital assets provide access to unique sources of return, including the risk premium embedded in cryptocurrency options markets. By integrating these strategies within traditional portfolios, we seek to enhance income while maintaining disciplined risk management. Our investment approach adapts to changing market environments. Income can be delivered through covered call strategies and through a dynamic approach to directional exposures.
Our Products
Canary Macro Income Fund
Hedge Fund
A hedge fund designed to deliver a risk-managed exposure to attractive income streams by incorporating digital assets within Traditional Macro portfolios.
Canary CRO Trust
Single asset
Convenient Access to a Leading EVM-Compatible Blockchain








