How It Works

Systematic execution. Transparent infrastructure. Investor-controlled capital.

01

What OtterQuant Is

A systematic crypto fund operating on Hyperliquid. Fully automated execution driven by quantitative signals. No discretionary trading. No human intervention in position management.

02

Hyperliquid Vault Structure

The fund operates as a non-custodial vault on Hyperliquid decentralized infrastructure. Investors deposit capital into the vault and maintain full custody. All positions and trades are visible on-chain in real-time.

03

Why Non-Custodial Matters

Capital remains under investor control at all times. No centralized custody risk. No withdrawal restrictions beyond standard vault mechanics. Transparent on-chain verification of all activity.

04

Risk Management

Continuous monitoring with dynamic position sizing based on market regime and confidence levels. Automated exposure limits and drawdown controls operate 24/7 to preserve capital across all conditions.

How to Invest

Simple step-by-step process for depositing into the vault

01

Acquire USDC

Purchase USDC on a centralized exchange or convert existing crypto holdings to USDC.

02

Transfer to Hyperliquid

Move USDC to your Hyperliquid wallet. Follow Hyperliquid bridge or deposit instructions.

03

Locate OtterQuant Vault

Navigate to the OtterQuant vault on Hyperliquid using the vault address provided.

04

Deposit into Vault

Deposit your USDC into the vault. You receive vault shares representing your proportional ownership.

05

Monitor Performance

Track live performance through this dashboard and the Hyperliquid vault interface. Withdraw at any time.

Fee Structure & Risk Disclosures

• Current structure includes a 10% performance fee on realized profits.

• Fee terms and structure may change in future periods.

• Past performance does not guarantee future results. No returns are guaranteed.

• All trading involves substantial risk. Capital may be lost.

Investor Access

OtterQuant operates with a select group of investors. New allocations are evaluated individually. Current investors have full access to live fund performance and vault metrics.