DigiAssets 2025

17 - 18 June, 2025

Convene, 155 Bishopsgate, London

Ray Dillet

Head of Financial Institutions – Europe Bitwise Investments

Ray brings 15 years of professional experience as an Alternatives specialist, holding senior business development and strategy roles at Deutsche Bank, PGIM and (Lyxor) Amundi where he partnered with some of the most well-regarded Hedge Funds globally. He also Co-Founded Bridge Partners, a boutique advisory & asset management firm that employs a strategic and thesis driven approach to digital asset investing. Prior to this he spent several years in the British Army and Security Services, first encountering Bitcoin in 2011 whilst working at the National Cyber Security Centre (GCHQ) and he has been actively investing in digital assets since 2017.

Day 1 | 17th June

10:05 AM Portfolio Construction Panel: Strategic asset allocation: How can you integrate crypto assets into your institutional portfolio to enhance diversification and deliver higher returns?

As institutional investors seek to optimize portfolio performance in an evolving market landscape, digital assets are emerging as a potential tool for diversification and enhanced returns. With their low correlation to traditional asset classes, cryptocurrencies offer unique opportunities, yet challenges persist around volatility, speculative perceptions, and limited long-term data. This panel will explore how institutions can strategically integrate digital assets into their portfolios, balancing risks with the potential for enhanced diversification and returns. Speakers will examine crypto’s performance relative to traditional assets, discuss the implications for reshaping allocation frameworks like the 60/40 model, and weigh the pros and cons of various investment approaches.

  • How do crypto products compare to traditional assets in terms of liquidity, correlation and return potential? 
  • How can you analyse digital assets performance relative to traditional asset classes and what are the implications for portfolio diversification? 
  • How can institutions rethink traditional allocation frameworks and the 60/40 model to incorporate digital assets? 
  • Outlining the different investment approaches and the pros and cons to each, including market- neutral, long/shot and long-biased value picking.  
  • How can altcoins fit into asset allocation, depth of market? Are asset managers looking at altcoins and what is the criteria? Which assets are they interested in? just top 5, or are they looking deeper? Understanding the investable univserse and their criteria for picking altcoins? Correlation between main coins and altcoins? That could potentially outperform main coins? What criteria do they use to pick altcoins? 
  • What are the advantages of active management to provide more flexible risk controls compared to passive strategies? 

 

Check out the incredible speaker line-up to see who will be joining Ray.

Download The Latest Agenda