Pelican Investments takes a multi-strategy approach to crypto investing – combining institutional
governance, deep risk controls, and access to top-tier fund managers.


Our diversified strategies span long/short, market-neutral, and downside-protected approaches,
offering investors exposure that’s secure, scalable, and positioned for growth.


If you are a hedge fund manager and would like to get in touch or send us your fact sheet, please
email us at managers@pelicaninvestments.com

Pelican Investments takes a multi-strategy approach to crypto investing – combining institutional
governance, deep risk controls, and access to top-tier fund managers.


Our diversified strategies span long/short, market-neutral, and downside-protected approaches,
offering investors exposure that’s secure, scalable, and positioned for growth.


If you are a hedge fund manager and would like to get in touch or send us your fact sheet, please email us at managers@pelicaninvestments.com

Pelican Investments takes a multi-strategy approach to crypto investing – combining institutional governance, deep risk controls, and access to top-tier fund managers.


Our diversified strategies span long/short, market-neutral, and downside-protected approaches, offering investors exposure that’s secure, scalable, and positioned for growth.


If you are a hedge fund manager and would like to get in touch or send us your fact sheet, please email us at managers@pelicaninvestments.com

Our investment strategy

Explore our products

Explore our products

Multi-Manager Fund

Multi-Manager Fund

Our institutional-grade Fund of Funds provides diversified exposure to top-tier crypto investment managers, offering strategic access to high-potential opportunities beyond BTC and ETH.

Our institutional-grade Fund of Funds provides diversified exposure to top-tier crypto investment managers, offering strategic access to high-potential opportunities beyond BTC and ETH.

Our two approaches to digital assets management are tailored to offer maximum returns and peace of mind.

Our two approaches to digital assets management are tailored to offer maximum returns and peace of mind.

Market Neutral Strategy

Market Neutral Strategy

Combines low volatility and delta-neutral methods to achieve a stable Sharpe ratio and predictable risks and returns. It is suitable for crypto foundations, venture capital funds, and investors looking for lower-risk, uncorrelated asset returns.

Balanced Strategy

Balanced Strategy

Mixes long-short, algorithmic, and quant strategies to achieve steady returns with less risk. It aims for lower correlation with both crypto and traditional assets, performing well in various market conditions. This strategy seeks positive returns whether markets are up or down.

BTC Multiplier

BTC Multiplier

BTC Multiplier

Applies market-neutral, systematic strategies to generate consistent Bitcoin-denominated yield while preserving full BTC exposure. By compounding returns directly in BTC, the strategy reduces the opportunity cost of idle Bitcoin and delivers a low-volatility, institutional-grade approach to long-term BTC accumulation.

Real World Asset Tokenisation

Pelican Investments is executing a digital asset roadmap that targets the 2026 release of a commodity-backed token. This instrument is being engineered tosupport liquidity across both Centralised (CEX) and Decentralised (DEX) trading venues.


Concurrently, the firm is advancing the tokenisation of investment funds across a variety of asset classes. This framework applies fractional representation protocols to diverse holdings including Hedge Funds, Private Equity Funds and Property Funds.

Real World
Asset Tokenisation

801 Maze Tower, Trade Centre,

DIFC, Dubai, UAE

© 2025 Pelican Investments. All rights reserved

801 Maze Tower, Trade Centre,

DIFC, Dubai, UAE

© 2025 Pelican Investments. All rights reserved

801 Maze Tower, Trade Centre,

DIFC, Dubai, UAE

© 2025 Pelican Investments. All rights reserved