On-chain liquidity & DeFi risk management.
©2025

On-chain liquidity
& DeFi risk management

MEV Capital manages liquidity in DeFi by deploying bespoke yield strategies, curating economic security and managing risk parameters in permissionless vaults.
01
Who we are
Operating in the Decentralized Finance (DeFi) space since 2020, MEV Capital is an investment & risk management firm focused on formulating and deploying highly liquid, market-neutral yield strategies across a broad range of underlying assets.
02
Under the spotlight
Digital assets
AuM > $350M
Assets under Management
TVL > $500M
Total Value Locked in curated vaults
Annualized performance
8.9%
BTC
12.9%
ETH
13.2%
SOL
23.8%
USDC
Operating ecosystem
10+
Underlying blockchains
40+
Whitelisted protocols
$1B+
Monthly on-chain volume
15+
Curated vaults
03
What we do
MEV Capital is a digital asset manager focused on generating consistent yield in nascent DeFi markets. Its strategies follow a a mandate for stable asset exposure with clear benchmarks, primarily involving risk management and liquidity provisioning across selected public protocols.
Digital asset fund
A well-rounded solution for institutions to get exposure to DeFi yield strategies through a regulated digital asset fund structure.
Segregated Managed Accounts (SMA)
Non-custodial DeFi portfolio management solution best suited for crypto natives.
Vault curation services
Management of money market, multi-strategy and restaking vaults in permissionless third-party protocols.
04
Financial strategies and tools
MEV Capital deploys traditional financial strategies such as liquidity provision, arbitrage, carry trading, recursive borrowing, and others in the DeFi environment to generate consistent returns while minimising portfolio drawdowns. Backed by proprietary benchmarks and automated tools, these strategies are guided by strong risk management and regulatory alignment.
05
Ecosystem partners