What We Do
Tocaivma Capital is a proprietary trading and investment firm. We deploy our own capital across a diversified set of high-conviction strategies to generate consistent, risk-adjusted alpha in both traditional and crypto markets.
Our approach blends disciplined long-term buy-and-hold positions in fundamentally strong assets with active, alpha-focused tactics - including quantitative models, arbitrage, directional trades, and opportunistic positioning - to capitalise on inefficiencies and volatility.
Operating without external client funds allows us full alignment with performance, rigorous risk management, and the flexibility to pursue opportunities across equities, fixed income, commodities, digital assets, blockchain protocols, and emerging crypto ecosystems. Committed to innovation at the intersection of traditional finance and digital innovation, we aim to deliver superior long-term returns through deep research, cutting-edge technology, and adaptive execution.
Leadership
Former macro portfolio manager with experience across emerging markets equities and digital asset strategies. Leads capital allocation and investment thesis development.
Two decades in institutional risk management spanning interest rate derivatives, multi-asset portfolios, and digital asset exposure frameworks.
Background in fintech operations and management consulting. Coordinates research workflows and manages the daily intelligence pipeline.
Distributed systems engineer with deep experience in blockchain infrastructure, protocol design, and low-latency trading systems.
Financial regulation specialist covering FCA, SEC, and MiCA frameworks. Advises on compliance, licensing, and regulatory strategy.
Institutional sales and partnerships background in fintech and digital assets. Tracks competitive landscape and enterprise adoption trends.
Former fintech journalist and content lead. Manages external communications, thought leadership, and narrative strategy.