Systematic investment platform
Algorithmic ExposureAcross All Regimes
Built for funds, family offices, and high-net-worth investors, delivered through an alternative investment vehicle, SMA, ETI or white label.
Approach
Systematic · Automated
Markets
Digital assets · Equities
Vehicles
ETI · Fund · SMA · WL
Scale
100+ Clients
The Algorithmic Advantage
Passive long-only exposure concentrates risk in a single direction and a single market regime. Systematic allocation combines uncorrelated return streams engineered to perform across the full market cycle.
Stronger risk-adjusted returns
By diversifying across multiple, uncorrelated trading sleeves, the portfolio runs at lower volatility than passive exposure, leading to materially higher compounding over time.
Shorter, shallower drawdowns
Low correlation across sleeves dampens drawdown depth and duration. When one strategy underperforms, others tend to offset, limiting portfolio-level losses.
Long-short exposure
Combined long and short exposure decouples returns from market direction. The portfolio is built to generate returns in rising, falling, and sideways regimes.
Rules-based execution
Every strategy is fully codified and stress-tested before deployment. Execution is automated end-to-end, with no discretionary intervention.
Markets That Reward Systematic Exposure
Buy-and-hold is a single directional bet on momentum. Algorithmic exposure offers a more robust way to access the same markets and profit across regimes.
The Infrastructure Others Run On
A portfolio is only as good as the infrastructure that is executing it. Robuxio runs that infrastructure end to end. An institutional-grade stack across execution, security, data, and observability, powering every product and every white-label partner.
Execution engine
In-house order router
Custom routing logic cuts exchange-API dependency and adapts fast to venue changes.
WAP execution protocols
We implement WAP execution protocols to eliminate market frictions and optimize order execution across venues for better fills, lower slippage, and more consistent performance under stress.
Real time tracking
Real-time tracking of order outcomes and market conditions, including take-profit and stop-loss signals, so the system detects stress events faster and responds with execution aligned to risk limits.
Scalability
The trading engine scales to 10,000+ agents: each agent’s exchange interactions run in parallel following the corresponding WAP criteria, reducing operational fragility while maintaining execution performance and consistency.
Security & isolation
Client network isolation
Fully isolated private networks per client. Zero cross-client communication possible.
Zero-trust design
Nothing reaches the public internet except through controlled, whitelisted exit proxies.
API key protection
Stolen keys are useless. Exchanges only accept requests from whitelisted proxy IPs.
VPN-only admin access
Administrative access is possible only through the admin panel via VPN, following the highest security standards.
Data & reliability
The Trading Engine is isolated
The critical trading engine runs as an isolated component for maximum stability. It keeps execution state separate from the rest of the platform so the most sensitive operations remain predictable under load.
Internal processes
All other processes (APIs, internal reports, and operational tooling) read from the trading engine’s real-time database replica. This avoids contention and prevents internal activity from interfering with live trading execution.
High availability
Multi-datacenter platform replication for disaster recovery and continuous resilience, paired with proven redundancy and fast failover to keep execution stable, minimize operational fragility, and preserve performance during stress events.
99.95% uptime SLA
Monthly uptime guarantee backed by monitoring and automated failover.
Observability
Centralised control panel
One real-time console oversees every client and account simultaneously.
Anomaly detection
Automated detection of rogue trades, unusual balance changes, and breaches.
Multi-level alerting
Alerts routed to the internal team and to clients across multiple channels.
Choose The Vehicle That Fits You
Investors and partners come with different constraints. Robuxio meets them through familiar listed access, pooled fund exposure, direct managed accounts, or branded partner infrastructure.
Traditional-finance access
ETI
Systematic equity exposure packaged as an exchange traded instrument. Buy shares directly through your brokerage account.
Simplified digital-asset access
Fund
Pooled access to Robuxio's digital-asset strategies for investors who want a simpler operational route than direct accounts.
Premium direct allocation
SMA
Direct implementation for sophisticated allocators who need mandate-specific parameters, transparency, and account-level control.
Institutional scale
White Label
Partners offer Robuxio-powered strategies, infrastructure, dashboards, and reporting under their own brand.
Risk Control At Every Stage
The most dangerous risks are the ones the data can't show. Robuxio does not treat risk as a final filter after trades are generated. Position sizing, sleeve behaviour, exposure, infrastructure isolation, execution controls, and monitoring are part of the system from the start, and portfolios are built to hold up across regimes.
What we defend against
Two risks dominate across crypto and equities: a fast, market-wide drawdown, and a single name losing most of its value within minutes. The portfolio is built with these left tail events in mind.
Long-short model portfolio
Market falls are mitigated with a long-short portfolio of many models. Some sleeves are held solely to hedge net exposure, not for standalone return.
Liquidity-aware sizing
Positions are sized by inverse volatility and volume, shrinking exposure in volatile or illiquid markets. A hard cap limits single-name risk. Crypto adds coin-quality weighting and equities add a beta cap and regime-aware allocation.
Platform-level monitoring
Three layers are monitored continuously: portfolio (P&L, exposure, volatility, drawdown), execution (slippage, abnormal fills), and infrastructure. Anomalies trigger automated alerts.
Built For Investors And Partners
Whether you allocate your own capital, manage it for others, or offer systematic strategies under your own brand, there's a route built for you.
Investors & Allocators
Private investors, high-net-worth individuals, family offices, funds, and corporate treasuries who want systematic, rules-based exposure to digital assets or equities without running the strategy themselves.
Advisors & Partners
Financial advisors, planners, and institutions that want to offer Robuxio's systematic strategies to their own clients, under their own brand, without building the research, execution, and reporting infrastructure.
Built By Traders And Engineers
Robuxio was founded by systematic traders and infrastructure engineers with decades of combined experience across traditional finance, digital assets, and high-performance computing.

Pavel Kýček
CEO
Pavel Kycek brings 20 years of trading experience and a strong background in risk management, having worked extensively in currency hedging for some of the biggest companies in his country. As CEO of Robuxio, he leads the company's development of institutional-grade algorithmic exposure across asset classes, with a focus on uncorrelated strategies, measurable edge, and disciplined risk management.
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Dries Van den Broecke
COO
As a former Olympic athlete, Dries applies the same resilience and determination from his athletic career to his role at Robuxio. He oversees most operations, connecting all parts of the company to foster a cohesive and innovative environment. His strategic mindset and entrepreneurial spirit drive Robuxio's growth and operational excellence.
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Xavier Fariña
CTO
A mathematician with advanced degrees in Big Data and Artificial Intelligence, Xavier combines 25 years of IT expertise with a forward-thinking approach to innovation. As a former Software Architect at HP, he excelled in designing complex systems. Now, he masterminds Robuxio's infrastructure and leads a talented development team.
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Chris Jack
CGO
As the former lead of Cambridge University's Digital Assets Program, one of the largest global public-private research initiatives, Chris brings deep expertise in digital assets and strategic growth. At Robuxio, he drives all facets of growth, from business development and partnerships to brand strategy, communications, and digital presence.
LinkedIn
Full team
The people behind the platform.
Beyond the executive team, Robuxio is built by a wider group across research, engineering, operations, growth, and client support.
Ready to learn more?
Pick a path. The product pages cover the strategy, the performance, and the access routes for each market.