Guiding Capital
Through Shifting Tides
With institutional discipline, a technology-first mindset, and aligned incentives, we navigate complexity with purpose and provide clarity, structure, and conviction when it’s needed most.
Early Conviction in Digital Assets
Our team has been active in the digital asset ecosystem since 2012, participating in its evolution from early protocol experimentation through to the development of institutional-grade market infrastructure.
Emergence of Token Markets
We observed the emergence of token markets during the 2017 initial coin offering cycle and closely tracked the formation of the first dedicated digital asset funds in 2018.
Institutional Inflection Point
By 2020, institutional allocators had begun to enter the space with greater conviction, bringing demand for professionally managed vehicles built on robust operational frameworks.
Lighthouse is Founded
Lighthouse Collective Capital was established in 2023 as a multi-strategy investment firm focused on digital assets. Launched in the wake of the collapse of FTX and the broad deleveraging that followed, the events of 2022 underscored the importance of governance, discipline, and risk-management. Lighthouse was not formed in response to these events — but its operating model was validated by them.
Principles in Action
Lighthouse was founded with a clear mandate: to build an institutional-grade, multi-strategy investment platform rooted in digital asset market structure. Designed to adapt across cycles, the platform meets the risk expectations of institutional capital.
We work with — and for — institutional LPs, family offices, and fund-of-funds seeking aligned access to digital assets, supported by the governance, infrastructure, and discipline required for long-term capital.
Our structure brings together high-performing managers across a range of systematic strategies within a unified platform. We combine proven principles from traditional markets with innovations at the forefront of digital asset trading — ensuring we identify, validate, and unlock scalable alpha.
We don’t avoid risk, we actively manage it. Our experience navigating drawdowns and dislocations has shaped a resilient platform built on strong internal controls, institutional-grade service providers, and a conservative approach to counterparty and operational risk.
Our methodology is built to perform across all market conditions and withstand exogenous shocks through a disciplined capital allocation framework, supported by uncorrelated strategies and a focus on best-in-class execution, margin efficiency, and risk-management.
Leading by Example
We’re a firm with deep experience across investment cycles and market regimes. We operate with a flat structure, high conviction hiring, and clear decision rights—enabling disciplined execution and autonomy where it matters. Leadership here means judgment under pressure, earned through experience.