ScaleUp: Drive the Future of Cash Alpha Solutions
ScaleUp revolutionizes surplus cash management with AI-driven, market-neutral solutions, offering higher returns with bond-like stability while championing sustainability, ethical investing, and responsible innovation. Co-founded by a former Goldman Sachs FX quant/PM, ScaleUp combines deep institutional expertise with advanced AI to deliver unparalleled precision, risk control, and performance for family offices, middle-market clients, and institutions.
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Your Questions Answered
Explore the essentials about ScaleUp’s innovative approach to AI-driven Cash Alpha strategies and how we deliver unmatched value for our clients.
ScaleUp primarily serves family offices, middle-market companies, and institutional partners seeking to optimize surplus cash with market-neutral, AI-driven strategies.
Our solutions are designed for portfolios starting at $10M, ensuring scalability and meaningful returns for high-value clients.
The onboarding process typically takes 2-3 weeks, including client consultation, strategy customization, and seamless integration with existing financial systems.
Our market-neutral forex arbitrage model has delivered consistent equity-like returns with a Sharpe ratio of 6.1 and near-zero drawdowns, outperforming many traditional investment options.
Our strategies are fully hedged and market-neutral, eliminating directional risks while focusing on exploiting inefficiencies in forex markets.
ScaleUp charges a combination of subscription fees, performance-based fees aligned with client returns, and spreads from wholesale forex trading.
Yes, our platform is designed to integrate seamlessly with treasury management systems, payment processors, and banking platforms for efficient operation.
ScaleUp adheres to all applicable financial regulations and maintains partnerships with tier-1 banks and liquidity providers to ensure compliance and transparency.
Unlike fixed-income products or directional trading, ScaleUp offers market-neutral, AI-driven cash alpha strategies that deliver uncorrelated returns with bond-like stability, making it an unmatched solution in volatile markets.