Bitwise Asset Management Launches Model Portfolio Solutions for Digital Assets
In a significant move for the digital asset landscape,
Bitwise Asset Management, a prominent global crypto asset manager boasting over
$15 billion in client assets, announced the debut of its
Model Portfolio Solutions for Digital Assets on February 3, 2026. This innovative offering is tailored for financial advisors seeking to integrate digital assets into their investment strategies, catering to a market that has recently surpassed
$645 billion.
Understanding the Model Portfolio Solutions
The new Model Portfolio Solutions consist of seven distinct models, each meticulously designed to align with varying investor profiles and risk appetites. Among these, the
Core portfolios provide comprehensive exposure to the overall crypto ecosystem, while the
Thematic portfolios allow investors to hone in on specific trends, such as stablecoins or tokens beyond traditional cryptocurrencies like Bitcoin.
Model portfolios are rapidly gaining traction as indispensable tools among financial advisors. From 2023 to 2025, assets tracking such third-party models surged from
$400 billion to over
$645 billion, marking an impressive
62% growth. Furthermore, between 2022 and 2024, these models attracted upwards of
$80 billion in net inflows, underlining their growing significance in asset allocation strategies.
The Importance of Expert Guidance
According to
Matt Hougan, Chief Investment Officer at Bitwise, "Today marks a pivotal moment in how advisors engage with crypto asset allocation. Model portfolios are essential for financial professionals to diversify their offerings; however, their integration into crypto investing has been limited until now. As the types and numbers of crypto Exchange-Traded Products (ETPs) burgeon, these expert-designed models provide a straightforward approach for advisors, allowing them to seamlessly incorporate various crypto ETPs that align with their clients’ specific objectives."
Key Features of Bitwise’s Model Portfolios
1.
Systematic Monitoring and Rebalancing: Each portfolio is routinely monitored and rebalanced to prevent drift from the target asset allocation, ensuring alignment with investment goals.
2.
Diversified Exposure: The models are engineered to offer diversified exposure to the digital asset landscape, mitigating risks associated with single-asset investments.
3.
Streamlined Reporting: Participating advisors receive comprehensive reporting tools and collateral, which facilitate due diligence and simplify client communications.
4.
Easy Integration: Advisors can easily integrate these model portfolios into their existing investment frameworks, making it straightforward to offer clients exposure to digital assets.
Conclusion
As financial advisors seek innovative strategies for client investment portfolios, Bitwise’s Model Portfolio Solutions stand out as a robust option in this evolving landscape. By merging experience with forward-thinking investment strategies, Bitwise aims to empower advisors to confidently navigate the opportunities within the digital asset sector. For more details on how Bitwise is shaping the future of investing, visit
bitwiseinvestments.com/models.
Risks and Important Considerations
While investing in digital assets can be lucrative, it's crucial for investors to be aware of potential risks, including the possibility of principal loss. Advisors are urged to conduct thorough evaluations of the investment objectives, risks, charges, and expenses tied to the underlying ETFs before making investments.
Bitwise Asset Management emphasizes that while its model portfolios are designed to help advisors, the ultimate investment decisions rest with the advisors, who must consider each client's unique financial situation. As market dynamics shift, Bitwise remains committed to adapting its strategies to better serve the needs of investors.
For any inquiries, contact Tova Kaufmann at
[email protected].