The standard for
institutional digital
asset management.
Secure, transparent, and audited access to high-yield crypto strategies, tailored for the sophisticated global investor.
Real-time reference prices
Structured returns,
weekly liquidity.
Transparent weekly yield, fixed minimums, and clear liquidity terms. Six institutional-grade programs, from core accumulation to concentrated growth mandates.
Starter Plan
- Minimum$1,000
- Maximum$5,000
- WithdrawalsInstant
- Return frequencyWeekly
Second Plan
- Minimum$5,000
- Maximum$10,000
- WithdrawalsInstant
- Return frequencyWeekly
Third Plan
- Minimum$10,000
- Maximum$100,000
- WithdrawalsInstant
- Return frequencyWeekly
Fourth Plan
- Minimum$100,000
- Maximum$500,000
- WithdrawalsPriority
- Return frequencyWeekly
Fifth Plan
- Minimum$500,000
- Maximum$1,000,000
- WithdrawalsInstant
- Return frequencyWeekly
Sixth Plan
- Minimum$1,000,000
- Maximum$10,000,000
- WithdrawalsInstant
- Return frequencyWeekly
Investments in digital assets carry risk. Past performance is not indicative of future results. Read the full risk disclosure.
A disciplined four-step process
Onboard & verify
Complete institutional KYC and account setup in under ten minutes with our compliance team.
Fund the account
Deposit BTC, ETH, USDT, SOL, BNB, XRP or wire fiat through our tier-one banking partners.
Allocate to a strategy
Select from six programs, from conservative yield to venture liquid, and set your mandate.
Monitor & redeem
Track live P&L, receive quarterly reporting, and redeem to self-custody at any time.
Built to institutional standard
Bank-grade custody
Multi-sig cold storage with segregated client accounts and full insurance coverage.
Algorithmic insights
Proprietary market signals, sentiment analysis, and curated research briefs.
Institutional reporting
Daily NAV, quarterly performance letters, and audit-ready statements.
KYC & compliance
Full AML/KYC screening aligned with FATF and MiCA regulatory standards.
Global settlement
24/7 fiat on/off ramps across 40+ jurisdictions and 12 base currencies.
Dedicated coverage
Named relationship manager and priority desk access for allocations over $250K.
Model your allocation
Adjust deposit size and strategy to project weekly returns. Illustrative only.
Trusted by allocators worldwide
"The reporting cadence and custody transparency finally match what we expect from a traditional prime broker."
"We onboarded in a week. The compliance and settlement infrastructure is genuinely institutional."
"A disciplined process, transparent yield mechanics, and instant liquidity when we needed to rebalance."
"Fifteen years with Oriventra. Returns have been consistent through two full cycles and withdrawals always clear on time."
"My clients appreciate the quarterly attestations and the fact that every mandate is documented under UK company law."
"The retirement program has been a quiet compounder for my portfolio. Support desk is responsive and human."
Answers for allocators
A registered UK institution.
Oriventra Capital is incorporated under the Companies Act with the Registrar of Companies for England and Wales — operating from Causeway House, Bishop's Stortford. Every mandate we accept is bound by UK corporate law and independent audit.
- Company No.
- 04265787
- Certification
- ISO 9803 : 2009
- Incorporated
- 7 November 2009
- Jurisdiction
- England & Wales

Begin your allocation with
Oriventra Capital.
A dedicated coverage officer will contact you within one business day to discuss mandates, custody, and onboarding.
