A disciplined approach to digital-asset investing.
CryptoNest is an independent firm applying institutional portfolio discipline to digital assets — structured term programs, transparent reconciliation and dedicated client service.
Illustrative figures for layout only. Distribution rates are set by portfolio performance and are never guaranteed.
Independence, controls and continuity — since 2008.
CryptoNest was established in 2008 as a private investment office focused on measured, structured capital programs. We began allocating to digital assets in 2014 and have served private clients and family offices across 17 countries since.
Every client assignment is governed by the same discipline: segregated custody, daily reconciliation, defined distributions and a named relationship manager. Our administrative, compliance and portfolio functions operate within clearly separated responsibilities.
Segregated custody
Client assets are held separately from operating capital and reconciled daily.
Independent controls
Custody, reconciliation and client servicing are performed by distinct functions.
Transparent reporting
Clients receive portal access and periodic statements of every position and movement.
Dedicated service
One relationship manager per client, available throughout the business day.
Investment Committee
Client Services
Compliance & Risk
Custody & Operations
Structured term programs across five tiers.
Each program is a fixed-term allocation with a defined distribution rate applied to the invested amount on each business day. Distributions are paid from the portfolio’s realized performance and are never guaranteed.
$50.00 – $499.00
Perfect for beginners. Fixed daily yield, capital locked until maturity.
Request Program Access$500.00 – $4,999.00
Balanced growth with a longer compounding window.
Request Program Access$5,000.00 – $19,999.00
High-volume plan for serious investors.
Request Program Access$20,000.00 – $99,999.00
Premium tier with an enhanced daily return.
Request Program Access$100,000.00 – $500,000.00
Flagship plan with the highest daily yield.
Request Program AccessThe rate shown is a fixed distribution schedule, not a guaranteed return. Capital at risk. See the Risk Disclosure.
A structured path from onboarding to distribution.
Onboarding & verification
You complete our account opening form and verify your identity in line with our KYC/AML obligations.
Funding & confirmation
You transfer assets to the program wallet. Once the transfer is confirmed and approved, it is applied to your balance.
Allocation into a program
You select a term program; your allocation is locked and begins accruing its distribution from the following business day.
Distributions & payouts
Distributions are credited daily. Payouts are processed twice a month — mid-month and month-end — on manual approval.
Digital asset reference prices.
Reference quotes updated from exchange data and refreshed continuously while this page is open.
Quotes are indicative and for information only; they do not constitute a pricing offer. Sourced via a public market data feed (CoinGecko) with local caching.
Controls designed around client assets.
Institutional custody
Program assets held in segregated, multi-signature wallets with independent cold-storage custody.
Daily reconciliation
Every position, deposit and distribution is reconciled on a daily basis and recorded to your statement.
KYC / AML adherence
All account openings subject to identity verification, source-of-funds checks and ongoing monitoring.
Speak with our client office.
Whether you are an existing client or considering a program, our relationship team is available Monday through Saturday.
Registered office
40 Queen Street, London EC4R 1DD
United Kingdom
Client desk
4 World Financial Center, NY 10080
United States
Client desk
12 Marina Boulevard, Singapore 018982
Republic of Singapore