HashKey Capital 將推出數字資產衍生性商品及結構化解決方案業務

Hong Kong, Aug. 27, 2026 — HashKey Holdings Limited (3887.HK), an integrated digital asset company in Asia, announced that its boutique digital asset management arm, HashKey Capital, has officially launched its digital asset derivatives and structured solutions business. The firm will offer a variety of structured products, like Dual Currency Investments, tailored for professional investors. This new business aims to further expand digital asset management capabilities for professional and institutional investors through differentiated risk-reward structures, providing clients with more diverse and customized asset management solutions.

As the digital asset market continues to mature, professional investors’ demands have shifted from single spot-asset allocations toward diversified strategy management. Based on this trend, HashKey Capital plans to further integrate derivatives pricing, structural design, and risk management capabilities on top of its existing investment research, asset management, and trading capabilities. This will allow the firm to provide customized solutions based on professional investors’ asset status, investment objectives, and risk preferences.

The related solutions can serve various institutional needs, such as enhancing digital asset holding yields, building or reducing positions at target prices over time, optimizing cash flow arrangements, and managing specific market risks. The underlying assets are typically formed by combining standard derivatives tools such as options and futures. The core lies not in a single product form, but in the ability to translate standardized trading tools into risk-reward arrangements that match clients’ actual asset management goals.

Deng Chao, CEO of HashKey Capital, stated: “As digital assets increasingly become part of institutional asset allocations, the market focus is gradually shifting from whether to allocate digital assets to how to manage digital assets more effectively. We hope to combine the mature derivatives and structuring concepts of traditional financial markets with the characteristics of the digital asset market, providing professional investors with more flexible, customized asset management solutions to meet their diverse return and risk management needs.”

Looking ahead, HashKey Capital will continue to leverage its strengths as a boutique asset manager, advancing product innovation under the premise of compliance operations and risk management. The related business will be rolled out in an orderly manner, incorporating market liquidity conditions, product risk characteristics, and client suitability requirements, continually consolidating its comprehensive asset management and solutions capabilities for global professional and institutional clients.

About HashKey Capital

HashKey Capital is a leading boutique digital asset management institution in Asia, providing investors with full-lifecycle asset management solutions. In the primary market, as one of the earliest institutional investors in Ethereum since its founding in 2018, the fund has invested in over 400 innovative enterprises, focusing on digital assets, blockchain technology, and frontier tech. In the secondary market, its passive funds provide standardized digital asset beta exposure through compliant investment tools, while its active funds utilize multi-strategy positioning to navigate market cycles and generate excess returns.

Special Note: This article is for introducing HashKey Capital’s business development direction and relevant market background only, and does not constitute an offer, solicitation, recommendation, investment advice, or a promise of any investment return for any product. The actual scope, target audience, and specific arrangements of the businesses and services described herein will be subject to applicable laws and regulations, regulatory requirements, internal approvals, and formal transaction documents. Related products or services (if any) will only be provided to qualified investors who meet applicable laws, regulations, and client suitability requirements.

香港,2026年8月27日—— 亞洲綜合性數字資產公司 HashKey Holdings Limited(3887.HK)宣佈旗下精品數字資產管理機構 HashKey Capital 將推出數字資產衍生性商品及結構化解決方案相關業務,面向專業投資者提供包含雙幣理財在內的多款結構化產品。該業務旨在通過差異化的風險收益結構,進一步拓展面向專業及機構投資者的數字資產管理服務能力,為客戶提供更加多元的客製化資產管理方案。

隨著數字資產市場不斷成熟,專業投資者的需求已經從單一的現貨配置轉向多元化策略管理方向發展。基於這一趨勢,HashKey Capital 計劃在既有投資研究、資產管理及交易能力基礎上,進一步整合衍生品定價、結構設計和風險管理能力,根據專業投資者的資產狀況、投資目標及風險偏好,提供客製化解決方案。

相關解決方案可服務於不同機構需求,例如提升數字資產持有收益、在目標價格逐步建立或降低倉位、優化現金流安排,以及管理特定市場風險。其底層通常由標準化選擇權、期貨等衍生工具組合形成,核心並不在於某一單一產品形式,而在於能否將標準化交易工具轉化為與客戶實際資產管理目標相匹配的風險收益安排。

HashKey Capital CEO 鄧超表示:「隨著數字資產進一步成為機構資產配置的一部分,市場關注點正在從『是否配置數字資產』逐步轉向『如何更有效地管理數字資產』。我們希望將傳統金融市場成熟的衍生品及結構化思路與數字資產市場特點相結合,為專業投資者提供更加靈活、客製化的資產管理解決方案,滿足其多元化的收益及風險管理需求。」

未來,HashKey Capital 將繼續發揮精品資管優勢,在合規經營與風險管理的前提下推進產品創新。相關業務將結合市場流動性狀況、產品風險特徵及客戶適當性要求有序開展,持續鞏固面向全球專業及機構客戶的綜合資產管理與解決方案能力。

關於 HashKey Capital
HashKey Capital 是亞洲領先的精品數字資產管理機構,為投資者提供覆蓋全階段的資產管理解決方案。一級市場,作為最早期佈局以太坊的機構投資人之一,自2018年成立以來,基金已投資超過400家創新企業,重點佈局數字資產、區塊鏈技術及前沿科技。二級市場,旗下被動型基金通過合規投資工具,提供標準化數字資產貝塔敞口;主動型基金多策略佈局,把握市場週期,創造超額收益。

特別說明:本文僅用於介紹 HashKey Capital 的業務發展方向及相關市場背景,不構成任何產品的要約、招攬、推薦、投資建議或對任何投資回報的承諾。文中所述相關業務及服務的實際開展範圍、對象及具體安排,將以適用法規、監管要求、內部審批及正式交易文件為準。相關產品或服務(如有)僅會向符合適用法規及客戶適當性要求的合格投資者提供。

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