Marketing Information ]

BIT Global Crypto Leaders

Broad allocation across the crypto ecosystem in a hybrid portfolio of crypto equities and crypto assets

Ha Duong

Director Crypto-Strategies

“With this investment product, our objective was to provide exposure to almost the entire breadth of the crypto universe.”

Investment Strategy

[ Hybrid Active ]

BIT Global Crypto Leaders is the first actively managed crypto UCITS fund from a German asset manager. Its hybrid portfolio combines shares of the operationally strongest companies within the ecosystem with proven crypto assets - consolidated in one fund. Based on regulatory requirements, the fund may invest up to 25% of the value of the segregated assets indirectly in crypto assets via ETPs. This enables the fund management to represent a broader spectrum of crypto assets as an alternative to Bitcoin.

BIT Global Crypto Leaders

BIT Global Crypto Leaders gives investors regulated, UCITS-compliant access to almost the entire breadth of value creation within the crypto ecosystem - from Bitcoin mining and decentralized computing infrastructure to crypto financial service providers and crypto asset positions via regulated ETPs.

Precise selection of structural winners

Security selection is based on fundamental analysis, on-chain data, and quantitative signals. Despite the structural growth potential of the asset class, we assume that in the long term only a small proportion of existing coins and tokens will prevail. Accordingly, precise selection in this asset class is decisive for long-term investment success.

Easy access

Participation in almost the full breadth of the crypto ecosystem through a hybrid portfolio of crypto equities and crypto assets - consolidated in one fund. Custody-capable in a standard securities account, without wallets or private keys.

Broad participation in sector growth

Equities in carefully selected companies along the crypto value chain, especially market leaders in mining, exchange, payment, and services, have the potential to outperform crypto assets in certain market phases while at the same time offering attractive risk-return profiles.

Since inception
As of:
, share class R - I, Source Bloomberg
Annual yield
As of:
, share class R - I, Source Bloomberg
Volume
As of:
, share class R - I, Source Bloomberg

Disclaimer: Past performance is not a reliable indicator of future returns. Investments involve risks, including fluctuations in value and the potential loss of the capital invested. Due to the fund's composition, sector, concentration, country, geopolitical, and currency risks, in particular, may negatively impact performance. Please refer to the risk warnings in the sales prospectus and the PRIIPs KID.

Since inception
As of:
, share class I - I, Source Bloomberg
Annual yield
As of:
, share class I - I, Quelle Bloomberg
Volume
As of:
, share class I - I, Source Bloomberg

Disclaimer: Past performance is not a reliable indicator of future returns. Investments involve risks, including fluctuations in value and the potential loss of the capital invested. Due to the fund's composition, sector, concentration, country, geopolitical, and currency risks, in particular, may negatively impact performance. Please refer to the risk warnings in the sales prospectus and the PRIIPs KID.

BIT Global Crypto Leaders I-I

BIT Global Crypto Leaders R-I

BIT Global Crypto Leaders R-III

Performance since Inception

Rolling 12-Months Performance

Performance & Risk Metrics

Info

UCITS
ISINDE000A3CNGL5
WKNA3CNGL
Fund Manager

Investment Strategy

SRI - Risk Indicator

Fund Details

Terms

Portfolio Details Top 10

Asset Classes

Currencies

Region Allocation

Sector Allocation

Opportunities

Risks

Fund Documents

Key Information Document

Download

Semi-Annual Report

Download

Annual Report

Download

Sales Prospectus

Download

Factsheet BIT Global Crypto Leaders I-I Ultimo

Download

Subscribe to Factsheet

Performance since Inception

Rolling 12-Months Performance

Performance & Risk Metrics

Info

UCITS
ISINDE000A3CNGM3
WKNA3CNGM
Fund Manager

Investment Strategy

SRI - Risk Indicator

Fund Details

Terms

Portfolio Details Top 10

Asset Classes

Currencies

Region Allocation

Sector Allocation

Opportunities

Risks

Fund Documents

Key Information Document

Download

Semi-Annual Report

Download

Annual Report

Download

Sales Prospectus

Download

Factsheet BIT Global Crypto Leaders R-I Ultimo

Download

Subscribe to Factsheet

Performance since Inception

Rolling 12-Months Performance

Performance & Risk Metrics

Info

UCITS
ISINDE000A3DV7M2
WKNA3DV7M
Fund Manager

Investment Strategy

SRI - Risk Indicator

Fund Details

Terms

Portfolio Details Top 10

Asset Classes

Currencies

Region Allocation

Sector Allocation

Opportunities

Risks

Fund Documents

Key Information Document

Download

Semi-Annual Report

Download

Annual Report

Download

Sales Prospectus

Download

Factsheet BIT Global Crypto Leaders R-III Ultimo

Download

Subscribe to Factsheet

Invest now

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Legal Notice.

This is marketing information. The information contained herein does not constitute an offer or solicitation to buy/sell shares in the financial instruments mentioned in this marketing information. The information and assessments contained herein do not constitute investment, legal, and/or tax advice or any other recommendation. In particular, this information does not replace suitable investor- and product-related advice, and where applicable, professional advice from a legal or tax advisor. Tax treatment depends on the individual circumstances of the investor and may be subject to change. The binding basis for the purchase of shares in the funds mentioned in this marketing information are the respective PRIIPs KID, the currently valid sales prospectus  possibly with the management regulations or articles of association, the most recently published and audited annual report, and the last published unaudited semi-annual report, which are available free of charge in German from BIT Capital GmbH, Dircksenstr. 4, 10179 Berlin (see also bitcap.com), as well as from the respective management company and the respective country-specific representatives. The management company may make country-specific adjustments to the distribution authorization, including the revocation of distribution, regarding its investment funds. Furthermore, the management company may decide to terminate the arrangements it has made for the distribution of the funds in accordance with Article 93a of Directive 2009/65/EC and Article 32a of Directive 2011/61/EU. Further information on investor rights can be found on the BIT Capital GmbH homepage at bitcap.com/beschwerdemanagement/. Views expressed in this marketing information reflect the opinions of BIT Capital GmbH at the time of publication. These may change over time without prior notice. Information on forward-looking statements reflects the views and future expectations of BIT Capital GmbH. Nevertheless, actual developments and results may differ significantly from expectations.

However, no guarantee or liability can be assumed for the accuracy and completeness. The financial instruments mentioned are associated with significant risks, including the potential loss of the invested amount, as described in detail in the fund prospectus. Past performance and other historical data are not an indication or guarantee of future performance. Performance is calculated according to the BVI method. This means that all costs incurred at the fund level (e.g., administration and fund management fees) are taken into account. Additional costs may be incurred individually at the investor level (e.g., front-end load, custody fees, commissions, and other charges). This marketing information is exclusively directed at persons in countries where the mentioned funds are authorized for public distribution to the relevant client base. Shares of the funds mentioned in this marketing communication may not be offered for sale or sold within the USA, or to or for the account of US citizens or US persons resident in the USA. Furthermore, the shares may not be offered or sold, either directly or indirectly, to "US Persons" and/or entities owned by one or more "US Persons" as defined by the "Foreign Account Tax Compliance Act (FATCA)." In addition, this marketing communication may not be distributed in the USA.

The distribution and publication of this marketing information, as well as the offering or sale of shares/stocks of the mentioned funds, may also be subject to restrictions in other jurisdictions.  This marketing information may not be reproduced, modified, or passed on to other persons, either in whole or in part, or otherwise made accessible to them. BIT Capital GmbH assumes no liability for disadvantages arising directly or indirectly from the distribution, use, or modification and summarization of this information or its content. In particular, BIT Capital GmbH is not liable to third parties who receive this marketing information in violation of the provisions of this section.  

© 2026 BIT Capital GmbH. All rights reserved.

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Legal Notice:

This is a marketing communication. The information contained herein does not constitute an offer or solicitation to purchase or sell shares in any financial instruments mentioned in this marketing communication. The information and assessments provided do not constitute investment, legal, and/or tax advice or any other form of recommendation. In particular, this information does not replace appropriate investor- and product-specific advice, nor any necessary professional consultation by a legal or tax advisor. The tax treatment depends on the individual circumstances of the investor and may be subject to change.

The legally binding basis for purchasing shares in the funds mentioned in this marketing communication is the respective PRIIPs-KID, the applicable prospectus—if applicable, including the management regulations or articles of association—the most recently published and audited annual report, and the latest published unaudited semi-annual report, all of which are available free of charge in German from BIT Capital GmbH, Dircksenstr. 4, 10179 Berlin (see also bitcap.com), as well as from the respective management company and country-specific representatives. The management company may implement country-specific adjustments to the distribution authorization of its investment funds, including the revocation of distribution. Additionally, the management company may decide to terminate the arrangements it has made for the distribution of the funds in accordance with Article 93a of Directive 2009/65/EC and Article 32a of Directive 2011/61/EU. Further information regarding investor rights is available on the BIT Capital GmbH website at bitcap.com/beschwerdemanagement/.

Any views expressed in this marketing communication reflect the opinions of BIT Capital GmbH at the time of publication. These opinions may change over time without prior notice. Statements regarding future expectations reflect the view and anticipated outlook of BIT Capital GmbH; however, actual developments and results may differ significantly from expectations. No guarantee or liability is assumed for the accuracy or completeness of the information provided. The mentioned financial instruments involve significant risks, including the potential loss of the invested amount, as described in detail in the fund prospectus. Past performance and other historical data are not indicative of or a guarantee for future performance. Performance is calculated using the BVI method, which accounts for all costs incurred at the fund level (e.g., management and fund administration fees). Additional costs may be incurred at the investor level (e.g., front-end load, custody fees, commissions, and other charges).

This marketing communication is intended solely for persons in countries where the mentioned funds are authorized for public distribution to the relevant client group. Shares in the funds mentioned in this marketing communication may neither be offered nor sold within the United States or to, or for the account or benefit of, U.S. citizens or persons residing in the United States. Furthermore, the shares may neither be directly nor indirectly offered or sold to "U.S. persons" and/or entities owned by one or more "U.S. persons" as defined by the Foreign Account Tax Compliance Act (FATCA). Additionally, this marketing communication may not be distributed within the United States.

The dissemination and publication of this marketing communication, as well as the offer or sale of shares in the mentioned funds, may be subject to restrictions in other legal jurisdictions. This marketing communication may not be reproduced in whole or in part, modified, or passed on to other persons or made accessible to them in any other manner. BIT Capital GmbH assumes no liability for any disadvantages that arise directly or indirectly from the dissemination, use, modification, or summarization of this information or its content. In particular, BIT Capital GmbH is not liable to third parties who receive this marketing communication in violation of the provisions of this section.

© 2026 BIT Capital GmbH. All rights reserved.