The Institutional Crypto
Trading Solution
The institutional gateway to systematic crypto exposure built for funds, family offices and high-net-worth investors.
A Trading Engine. Not a Fund.
Robuxio is a fully automated modular trading infrastructure for systematic crypto exposure. Our engine deploys 20+ uncorrelated, rule-based strategies — that have been robust and profitable in traditional finance for decades — across the top 50 liquid coins, automatically selected each day. Designed for institutions, the platform combines adaptive strategy logic, portfolio construction, and live exchange execution — all with transparent risk controls.
Broad Market Exposure
We trade a dynamic universe of upto 50 coins, automatically selected daily with no hindsight bias — ensuring tradability, liquidity, and opportunity.
Multi-Position Strategy Execution
Each strategy can hold upto 20 positions simultaneously, with dozens of active trades and pending orders. Designed for scale and granularity.
Collateral Flexibility
Portfolios can be collateralised in stablecoins, BTC, or ETH — offering flexibility to align with treasury or directional preferences.
Volatility Targeting by Mandate
Risk-calibrated portfolio variants built to target max volatility or drawdown thresholds — configured to your risk appetite.
All-Weather Approach
Our portfolios carry no directional bias — generating returns in bull, bear, and sideways markets through structure, not prediction.
Available as SMA or White Label
Deploy as a fully managed SMA account, or embed the entire engine behind your brand.
All-Weather Portfolio Design
Robuxio portfolios combine two core strategy types to maintain an edge across different market conditions:
Mean Reversion
Targets market inefficiencies and short-term price extremes
Mean Reversion
Two strategy types:
- Long Reversion – profits from sharp short-term selloffs
- Short Reversion – targets overextended unsustainable short-term rallies
Momentum
Captures directional breakouts and breakdowns
Momentum
Two strategy subtypes that are traded both long and short:
- Trend Following – captures sustained directional moves
- Breakout – targets short, explosive momentum bursts
Tailored Portfolio Profiles
We provide multiple levels of account volatility and portfolio exposure based on our clients' preferences. All of our portfolios follow an all-weather philosophy—remaining agnostic to market direction yet leveraging rigorous, data-driven approaches.
Available in these collaterals
High Sharpe High Vol
A combination of trend-heavy strategies (long-term trend following, shorter-term breakouts, etc.). Volatility is moderate, and while choppy markets can create some drag, trend-following remains robust over the long run.
High Sharpe Low Vol
Focuses on short-term breakouts (up/down) plus mean reversion to smooth returns. Same strategy logic as the High Vol variant, but with reduced net exposure for calmer daily swings.
Charts show compounded returns using USD collateral
The Engine Behind Every Trade
Robuxio's trading engine is the invisible infrastructure that powers both our portfolios and white-labeled solutions.
Ultra-low latency execution, physically colocated with major exchanges
24/7 monitoring across portfolio performance, system load, and order health
Encrypted, IP-restricted, and non-withdrawable API key handling, for enhanced security
Dynamic IP rotation and proxy routing to avoid rate limits on exchanges
Load-tested to run 60,000+ executors in parallel — with no degradation in execution speed
Four global zones per exchange with full failover protection for uninterrupted trading
Whether you're trading via SMA or integrating our engine behind your platform, Robuxio delivers operational reliability at scale.
Precision Risk Engineering
Robuxio portfolios are constructed with risk logic embedded across the entire trading lifecycle:
Risk Module
A dedicated pre-trade control module that inspects every signal and execution intent, verifying alignment with system logic, order size accuracy, and expected slippage tolerances.
Live Benchmarking & Deviation Correction
Every portfolio runs against individualised performance benchmarks. If execution or market behaviour deviates from modeled expectations, the system flags and adapts in real time.
Structural Diversification
We diversify not just across symbols, but across strategic approaches. Our portfolios combine momentum and mean reversion strategies—both long and short—with strict exposure limits per category.
Liquidity Constraints
Our infrastructure is designed to manage significant AUM by intelligently spreading capital across the 24-hour crypto cycle. Unlike static execution, we allocate dynamically during optimal liquidity windows to preserve execution quality.
Per-Asset & Per-Strategy Limits
We cap exposure both by individual asset and strategy group to prevent overconcentration and protect against regime-specific underperformance.
Risk Module
A dedicated pre-trade control module that inspects every signal and execution intent, verifying alignment with system logic, order size accuracy, and expected slippage tolerances.
Live Benchmarking & Deviation Correction
Every portfolio runs against individualised performance benchmarks. If execution or market behaviour deviates from modeled expectations, the system flags and adapts in real time.
Structural Diversification
We diversify not just across symbols, but across strategic approaches. Our portfolios combine momentum and mean reversion strategies—both long and short—with strict exposure limits per category.
Liquidity Constraints
Our infrastructure is designed to manage significant AUM by intelligently spreading capital across the 24-hour crypto cycle. Unlike static execution, we allocate dynamically during optimal liquidity windows to preserve execution quality.
Per-Asset & Per-Strategy Limits
We cap exposure both by individual asset and strategy group to prevent overconcentration and protect against regime-specific underperformance.
Built by Experts
The Robuxio platform was created by a team of engineers and systematic traders with a deep understanding of how to build a trading infrastructure with operational resilience.

Pavel Kýček (CEO)
Pavel brings 18 years of trading experience and a strong background in risk management, having worked extensively in currency hedging for some of the biggest companies in his country. Now fully dedicated to Robuxio, he specializes in building uncorrelated strategies.

Dries Van den Broecke (COO)
As a former Olympic athlete, Dries applies the same resilience and determination from his athletic career to his role at Robuxio. He oversees most operations, connecting all parts of the company to foster a cohesive and innovative environment. His strategic mindset and entrepreneurial spirit drive Robuxio's growth and operational excellence.

Xavier Fariña (CTO)
A mathematician with advanced degrees in Big Data and Artificial Intelligence, Xavier combines 25 years of IT expertise with a forward-thinking approach to innovation. As a former Software Architect at HP, he excelled in designing complex systems. Now, he masterminds Robuxio's infrastructure and leads a talented development team.

Chris Jack (CGO)
As the former lead of Cambridge University's Digital Assets Program, one of the largest global public-private research initiatives, Chris brings deep expertise in digital assets and strategic growth. At Robuxio, he drives all facets of growth, from business development and partnerships to brand strategy, communications, and digital presence.
Let's Build Your Systematic Edge
Deploy a portfolio. Embed our engine. Trade at scale.