In Mastering Crypto Assets: Investing in Bitcoin,
Ethereum and Beyond, a team of seasoned investors and digital asset
strategists presents a comprehensive guide aimed at institutional and
professional investors for integrating crypto assets into traditional
portfolios. The book offers in-depth explanations of the structure of this new
asset class and its impact on investment portfolios.
It guides readers on using fundamental and quantitative
criteria to select blockchain-based assets, grounded in a robust foundation of
knowledge and evidence. The authors demonstrate how to apply quantitative
valuation concepts to digital assets like Bitcoin, understanding their role as
digital stores of value in a traditional investment portfolio.
The book also delves into the unique risk and return
characteristics of various digital asset sectors, adapting conventional
investing methods to the digital realm. It goes beyond direct crypto asset
investments, introducing related equities and strategies for accessing digital
assets in restricted settings. It discusses both indexed and active strategies
in the context of crypto assets.
A key feature of the book is exclusive interviews with
industry figures such as Jan van Eck (VanEck), Peter L. Brandt (Legendary
Trader), and Fred Thiel (Marathon Digital), with these interviews accessible
through QR codes in the book for extended video content. This provides a
dynamic and interactive learning experience.
Moreover, the book benefits from invaluable research
assistance from Figment and CCData, enriching its analytical depth. It also
includes insightful guest articles from digital asset experts like Matthew
Sigel (VanEck), Marco Manoppo (Digital Asset Research), Marcel Kasumovich
(Coinbase Asset Management), Timothy Peterson (Cane Island Digital Research),
Gregory Mall and Rohan Misra (AMINA), and thought leaders from Token Terminal.
Mastering Crypto Assets is an invaluable
resource not just for institutional and individual investors, but for anyone
keen on adopting a sound, evidence-based approach to digital asset investment.
About the Author
MARTIN LEINWEBER, CFA, is a Digital Asset
Product Strategist at MarketVector Indexes, offering product development,
research, and thought leadership. Before joining MarketVector, Martin was
instrumental in managing active funds for large European institutional
investors.
JÖRG WILLIG serves as the Head of Portfolio
Management at a renowned private bank and has over two decades of experience
managing funds for both institutional and private clients. He oversees the
development of systematic investment strategies that encompass fixed income,
equity, and real assets portfolios.
STEVEN SCHOENFELD is the CEO of MarketVector
Indexes, a leading global index and data provider for equities, fixed income,
and digital assets. He has 40 years of experience working in the investment
management industry, including senior fiduciary positions at Northern Trust and
Barclays Global Investors, and led the development of investable emerging
market indexes at IFC/World Bank.