Markets

We trade our own book.

Ryoka actively manages its own capital across global markets. Primarily proprietary. Selectively open to aligned partners.

Allocation

Equities

60%

Global equities, long positions, concentrated bets on businesses we understand.

Futures

15%

Index and commodity futures for tactical exposure.

Crypto

10%

Selective digital asset exposure.

Commodities

10%

Hard assets, inflation hedge.

Forex

5%

Currency pairs, opportunistic.

Our approach

We run proprietary strategies with internal capital. Every position is taken with a clear thesis and closed when that thesis no longer holds. We do not chase performance, react to noise, or optimise for appearance.

Market activity exists to serve the broader Ryoka ecosystem. Returns fund acquisitions, new ventures, and existing holdings. The book and the business reinforce each other.

Outside capital

This is not a fund raise. It is a selective, relationship-driven arrangement for those who understand what Ryoka is building. A small allocation, up to 10% of the book, may be opened to aligned partners on a case-by-case basis.

Interested in co-investing or learning more about how we operate in markets?

Partner inquiries