Long-Duration Research
Study Bitcoin through monetary, network, adoption, and market-cycle perspectives.
KC Bitcoin Fund I is a private investment fund focused primarily on long-term Bitcoin exposure, supported by systematic research, disciplined portfolio construction, and continuous risk management.
Monetary economics · Valuation · Liquidity · Macro · Market structure
Portfolio construction · Systematic exposure management · Liquidity awareness
Exposure controls · Liquidity · Custody & counterparty · Operations
The fund seeks long-term capital appreciation through disciplined exposure to Bitcoin and related opportunities within its approved investment mandate.
The objective is not a promise of appreciation or a guarantee of any investment result. Bitcoin and digital-asset investments involve substantial risk and volatility.
Study Bitcoin through monetary, network, adoption, and market-cycle perspectives.
Evaluate liquidity, positioning, volatility, and the structure of digital-asset markets.
Translate research into disciplined exposure within a portfolio-level framework.
Monitor exposure, liquidity, custody, counterparties, operations, and changing market conditions.
Risk management considers portfolio exposure, market liquidity, volatility, custody, counterparty arrangements, operational controls, and the limitations of research and models.
Specific investment restrictions and operating terms are set forth only in the applicable offering and governing documents.
Accredited investor status must be verified before an investment can be accepted. Self-identification alone does not complete the verification process.
Requesting information does not establish eligibility, guarantee access to offering materials, reserve an allocation, or constitute acceptance by the fund.
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