

Systematic strategies delivering exceptional returns vs. benchmark.
Growth of $100,000 invested (Jan 2022 - Oct 2025). S&P 500 total return index for comparison.
Actual performance data. Past performance does not guarantee future results.
Diversified exposure across six major asset classes with systematic, quantitative strategies.
Mean reversion, trend following, and carry trade strategies across major and emerging currency pairs.
Long/short, momentum, and market-neutral strategies across US, Europe, and Asia-Pacific markets.
Algorithmic trading on major global indices with focus on volatility arbitrage and beta hedging.
Bitcoin trend following and mean reversion with institutional-grade custody and risk management.
Systematic approaches to government and corporate bonds with duration management and credit analysis.
Strategic exposure to commercial and residential real estate through REITs and direct property investments.
Our systematic investment process deploys 11 distinct quantitative strategies across these six asset classes, each designed to capture specific market inefficiencies while maintaining strict risk controls and portfolio diversification.
Comprehensive overview of our investment strategies, risk management framework, and track record. Detailed information on fund structure, terms, and how to invest.
For qualified investors interested in learning more about our strategies.
MERLINSORT LLC
Delaware, United States
C&R CAPITALS FCZ LLC
Sharjah Free Zone, United Arab Emirates
contact@crcapitals.fr