Algorithmic Crypto Exposure

Plug & Play Crypto Strategies

Algoflex is a systematic quantitative, multi-strategy crypto trading platform engineered to deliver consistent, risk-adjusted returns. Our institutional-grade engine runs 24/7 across dozens of liquid assets, executing trades directly in your exchange account.

Years of Crypto Trading Experience

Fully Automated Quant Strategies

AlgoFlex blends momentum, mean-reversion, and hedged strategies with real-time volatility targeting, delivering hands-free alpha.

Welcome to the constrax website

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About the

Algoflex
1
years experience
2+
Algoflex is a fully automated modular trading infrastructure for systematic crypto exposure. Our engine deploys 20+ uncorrelated, rule-based strategies — that have been robust and profitable in traditional finance for decades — across the top 50 liquid coins, automatically selected each day.
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Broad Market Exposure

We trade a dynamic universe of upto 50 coins, automatically selected daily with no hindsight bias — ensuring tradability, liquidity, and opportunity.

Multi-Position Strategy Execution

Each strategy can hold upto 20 positions simultaneously, with dozens of active trades and pending orders. Designed for scale and granularity.

Collateral Flexibility

Portfolios can be collateralised in stablecoins, BTC, or ETH — offering flexibility to align with treasury or directional preferences.

Volatility Targeting by Mandate

Risk-calibrated portfolio variants built to target max volatility or drawdown thresholds — configured to your risk appetite.

All-Weather Approach

Our portfolios carry no directional bias — generating returns in bull, bear, and sideways markets through structure, not prediction.

Available as SMA or White Label

Deploy as a fully managed SMA account, or embed the entire engine behind your brand.

what we offer

All-Weather Portfolio Design

Algoflex portfolios combine two core strategy types to maintain an edge across different market conditions:
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High Sharpe High Vol

A pure short-term focused portfolio combining breakout momentum and mean reversion strategies on both the long and short side. Designed to capture short-term profits, even in non-trending markets. Longer term trend-following strategies are excluded to reduce volatility.

High Sharpe Low Vol

Same strategy logic as the High Vol variant, but with reduced net exposure and strategy weights. Built for clients seeking consistent returns with lower volatility.

We Always Find Your Best Solutions

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Contrax Construction Nature in Building

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Complete Project
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Happy Clients
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Sharpe Ratio

3+

Downtime

<0.01%

Negative Performance Years

ZERO

Minimum Investment

$5000

Arjun Mehta

Crypto Portfolio Manager, Singapore

AlgoFlex revolutionized our digital asset management — seamless automation and AI-driven adjustments that outperform human discipline.

Sarah Nguyen

Independent Trader, Australia

What impressed me most is the transparency — I keep full custody of funds and can watch every trade in real time. True hands-free trading with institutional-grade risk control.

Arjun Mehta

Crypto Portfolio Manager, Singapore

AlgoFlex revolutionized our digital asset management — seamless automation and AI-driven adjustments that outperform human discipline.

Sarah Nguyen

Independent Trader, Australia

What impressed me most is the transparency — I keep full custody of funds and can watch every trade in real time. True hands-free trading with institutional-grade risk control.

our teams

Our Team members

Founder & CEO

FBXIN

Site Engineer

FBXIN

Architect

FBXIN

Jr. Executive

FBXIN

Why Choose Us

Alpha Max

Same strategy logic as the High Vol variant, but with reduced net exposure and strategy weights. Built for clients seeking consistent returns with lower volatility.
AlphaMax targets higher growth across dynamic market conditions using breakout and short-term momentum models.
Annualised Returns: 43% Sharpe: 1.07
Max Drawdown: -32%
AlphaMax is designed for investors seeking aggressive risk-adjusted returns with active exposure across trending and range markets.

Alpha Steady

A pure short-term focused portfolio combining breakout momentum and mean reversion strategies on both the long and short side. Designed to capture short-term profits, even in non-trending markets. Longer term trend-following strategies are excluded to reduce volatility.
AlphaSteady prioritizes smoother return paths with disciplined risk controls.
Annualised Returns: 22% Sharpe: 1.18
Max Drawdown: -19%
AlphaSteady maintains exposure across the same models as AlphaMax but with tighter volatility constraints and a focus on drawdown control.

Alpha Max

Same strategy logic as the High Vol variant, but with reduced net exposure and strategy weights. Built for clients seeking consistent returns with lower volatility.
AlphaMax targets higher growth across dynamic market conditions using breakout and short-term momentum models.
Annualised Returns: 43% Sharpe: 1.07
Max Drawdown: -32%
AlphaMax is designed for investors seeking aggressive risk-adjusted returns with active exposure across trending and range markets.

Alpha Steady

A pure short-term focused portfolio combining breakout momentum and mean reversion strategies on both the long and short side. Designed to capture short-term profits, even in non-trending markets. Longer term trend-following strategies are excluded to reduce volatility.
AlphaSteady prioritizes smoother return paths with disciplined risk controls.
Annualised Returns: 22% Sharpe: 1.18
Max Drawdown: -19%
AlphaSteady maintains exposure across the same models as AlphaMax but with tighter volatility constraints and a focus on drawdown control.

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