Navigating Complexity.
Delivering Alpha.
Delta neutral, multi-strategy hedge fund focused on generating consistent, risk-adjusted returns with low volatility across all market regimes.

Our Philosophy
Sryantra Capital operates at the cutting edge of finance, deploying a rigorous, data-first methodology to secure superior risk-adjusted returns. In an ecosystem defined by rapid evolution, we view digital assets not merely as a trend, but as a fundamental component of the modern financial architecture.
True resilience requires agility. Our thesis is built on the convergence of traditional market wisdom and the explosive potential of decentralized finance.
Competitiveness today demands a broader horizon. We integrate crypto-native strategies as a core pillar of our portfolios, applying institutional-grade risk management to harvest yield while safeguarding capital. We don't just participate in the market; we adapt with it.
Markets are inefficient, but not always predictable
We believe markets, both traditional and crypto, are inefficient at times, presenting opportunities for active management. Mispricings arise from investor sentiment, information gaps, and market structures. However, crypto markets often exhibit extreme volatility, which makes predicting short-term price movements difficult. Disciplined research and swift decision-making are key to taking advantage of these inefficiencies while managing volatility.
Our Commitment
We are dedicated to delivering sustainable alpha by synthesizing time-tested investment principles with forward-thinking digital asset strategies. Our approach is anchored in deep research, ironclad risk management, and the flexibility to pivot as markets evolve.
We see blockchain technology as the engine of a global economic shift. By weaving these emerging assets into a diversified portfolio, we position ourselves to capture asymmetric upside in both established sectors and high-growth frontiers.
Through proactive management and constant vigilance, we navigate complexity to seize opportunities across the spectrum. This balanced, dynamic strategy empowers us to consistently outperform benchmarks and deliver exceptional value to our investors.