Kaiko Acquires Amberdata in Landmark Digital Asset Data Consolidation.

Hedge Funds & Trading Firms

Learn how Kaiko equips hedge funds and trading firms with the data infrastructure they need to operate across digital asset markets.

Digital Asset Data That Powers Hedge Fund And Trading Strategies

We help hedge funds and trading firms access deep, reliable digital asset data to power systematic strategies, manage portfolio risk across crypto positions, validate execution quality, and monitor market conditions, all backed by institutional-grade data and independent price references.

  • Trusted by Leading Quant Funds
    Kaiko’s institutional-quality data underpins research, execution, and risk models at the world’s leading systematic and quantitative trading firms

  • Unmatched Market Coverage
    Coverage across 100+ trading venues gives hedge funds the depth needed to build differentiated strategies, validate signals, and monitor execution quality

  • Independent and Regulator-Ready
    As a non-exchange-affiliated provider, Kaiko delivers the independent data needed to satisfy investor mandates, best execution obligations, and regulatory scrutiny.

How we help you

With historical and real-time market data across 100+ exchanges, hedge funds and trading firms can build systematic strategies, manage portfolio risk, and meet best execution compliance requirements.

  • Front Office

    Front Office

    Access historical trade and order book data across venues to backtest systematic strategies, validate technical signals, and inform volatility trading decisions.

  • Middle Office

  • Risk Monitoring

  • Market Research

Solutions

Market Explorer

Aggregates trading volumes, market depth, and liquidity data across 100+ exchanges via REST API and BigQuery, enabling asset due diligence, competitive analysis, and identification of trading opportunities.

Explore Kaiko Market Explorer →

Level 1 and Level 2 Data

Provides tick-level historical trade and order book data from 2010 across 100+ venues, enabling systematic strategy backtesting, technical signal validation, and volatility model calibration.

Explore Level 1 and Level 2 Data →

Portfolio and Risk Management

Calculates VaR, Expected Shortfall, and Maximum Drawdown for single and multi-asset crypto portfolios at 90–99% confidence levels, supporting daily or hourly risk reporting.

Explore Kaiko Portfolio and Risk Management →

Best Execution Pricing

Supplies an independent, real-time price reference across the top 10 exchanges that hedge funds and trading firms use as a secondary confirmation tool alongside their primary execution systems, to cross-check trade quality, flag outliers, and support best execution compliance reporting under Dodd-Frank and AIFMD.

Explore Kaiko Best Execution Pricing →

Want to speak to an expert?

Get in touch with our expert team and discover how we can help you with our institutional-grade data and solutions.

Contact Us