Crypto Asset Management

Capital managed
with institutional
discipline.

Noblent Capital brings professional fund management to the crypto asset class. Transparent NAV based accounting, a protected fee floor on every account, and a fee structure built to reward genuine performance.

Fund performance index
100,000
Starting index value
Current index value
$10.00
Protected fee floor, per quarter
Total growth since inception

This index tracks how $100,000 placed with Noblent at inception would have grown over time. It is a tracking benchmark, not an account balance. See how this works.

Performance fee model 5% management, 30% of profit above the protected floor, quarterly

Backtested or simulated performance. Past performance, whether actual or simulated, is not indicative of future results. Simulated results have inherent limitations and do not reflect actual trading or the impact of real market conditions.

The principles that govern every capital decision we make

Most crypto services operate on trust and screenshots. Noblent Capital operates on accounting. Every return, every fee, and every NAV record is verifiable, documented, and available in your investor portal at any time.

01
A protected fee floor, always
Every account starts at a protected floor value. A performance fee is only ever charged on new growth above that floor in a given quarter. If a quarter does not produce growth above the floor, the performance fee for that quarter is simply zero. You are only ever charged on genuinely new gains.
02
NAV based transparency
Your portfolio is priced daily using live exchange data. NAV per unit is calculated, recorded, and published to your investor portal every 24 hours. You never have to ask what your investment is worth.
03
Fees tied to outcomes
We earn when you earn. Our fee structure is constructed so that our incentives are permanently aligned with your returns, not structured around guaranteed income regardless of performance.
Our services

Three mandates. One standard.

Asset Management
Managed Portfolio

Allocate capital to Noblent Capital and we manage it: strategy, execution, risk, and reporting. You see your portfolio value, NAV history, and fee statements through your dedicated investor portal. We retain full accountability through NAV based accounting and a protected fee floor that keeps every performance fee tied to genuinely new growth.

  • NAV based fund structure with daily pricing via exchange API
  • Protected fee floor applied to every performance fee
  • Dedicated investor portal with live portfolio value
  • Quarterly performance statements and fee breakdowns
  • Systematic strategy, not discretionary guesswork
Annual management fee
5%
plus 30% of growth above your protected floor, each quarter
Floor Protected
Strategic Partnership
Guided Portfolio

Your funds remain in your own exchange account at all times. Noblent connects through an API key you generate and control, whitelisted to our systems, so we can manage strategy and execution directly while you retain full ownership and can revoke access at any time. You pay only when new profit is generated.

  • Funds remain in your own account at all times
  • Noblent connects via a revocable API key you control
  • Monthly strategy briefings and execution guidance
  • Fee applies only to new profit generated that month
  • Direct access to your portfolio manager
Profit share only
40%
of new net profit generated, calculated monthly. No retainer.
You Keep Custody
Portfolio Consultation
Strategy Session

A 90 minute working session with Rao on your current portfolio. We go through every position: what belongs, what should be resized, how to size remaining holdings, and where your actual risk exposure sits. You leave with a written strategy document and 30 days of email access.

  • Full current portfolio audit and risk assessment
  • Position by position entry, exit, and protective levels
  • Asset allocation restructuring recommendations
  • Written strategy document delivered post session
  • 30 day email follow up access
One time fee
$499
Single session. No ongoing commitment required.
No Lock-in
The process

From application to active portfolio

One
Application
Complete a short application covering your goals, capital position, and which mandate fits your situation. Takes about three minutes.
Two
Onboarding call
A direct conversation with Rao. We agree on mandate terms, fee structure, and reporting cadence before any capital is committed.
Three
Capital deployment
Funds are deployed into the strategy. Your investor portal activates. NAV updates daily. You see your portfolio value in real time.
Four
Quarterly reporting
Performance statements, NAV history, and fee calculations delivered each quarter. Every number verified, every calculation documented.

This is not a signal group

The crypto advisory space is flooded with Telegram channels, copy trading apps, and influencer portfolios. Noblent Capital was built for investors who want none of that: professional fund management applied to digital assets, with the accounting to back it up.

Feature
Noblent Capital
Typical service
NAV based accounting
Protected fee floor
Daily portfolio pricing
Fee only on new profit
Investor portal access
Written strategy documents
$10
Protected floor applied to every account. A performance fee is only ever charged on growth above this level, each quarter.
Daily
Portfolio valued every 24 hours using live exchange data. No monthly estimates. No approximations.
0%
Performance fee in any quarter that does not produce growth above the protected floor.
100%
Accountability through documented NAV records, performance history, and quarterly fee statements available to every investor.
Rao Arslan, Founder and CEO of Noblent Capital
Rao Arslan
Founder and Portfolio Manager
Rao Arslan
CEO, Noblent Capital

Rao founded Noblent Capital on a straightforward conviction: that serious crypto investors deserve the same quality of fund management infrastructure as institutional clients, with proper accounting, real performance tracking, and fee structures that only reward genuine results.

His approach to portfolio management is systematic and rules based, with position sizing driven by conviction and risk parameters, not emotion. Every entry, every exit, and every protective level has a rationale that is documented and communicated to clients.

Noblent Capital is built to operate as a professional fund, not a personality driven trading account. The infrastructure, including the NAV engine, the protected fee floor, and the investor portal, exists because accountability requires systems, not promises.

Common questions

Everything you should know before investing

Every Asset Management account starts at a floor value of $10.00 per unit. A performance fee is only ever charged on growth above that floor within a given quarter. If a quarter finishes below the floor, the performance fee for that quarter is zero, and the floor itself is never moved down. The next quarter still measures growth from that same $10.00 reference point, so you are never charged a fee on ground you have not actually gained. See a worked example.

Every 24 hours, our system pulls live asset balances from the exchange API and prices each position in USDT using real time market rates. Total portfolio value divided by total units in circulation gives the NAV per unit for that day. This is recorded, timestamped, and published to your investor portal immediately. There are no estimates and no monthly approximations. Every figure is derived from live exchange data.

In Asset Management, you transfer capital to a trading account managed by Noblent Capital. We execute every trade. You watch via your investor portal. In the Strategic Partnership, your funds stay in your own exchange account and you never give us custody. Instead, you generate an API key on your own account and whitelist it to Noblent so we can manage strategy and execution directly, and you can revoke that access at any time. The Strategic Partnership suits investors who want to retain ownership of their capital at all times. Asset Management suits those who prefer a fully hands off arrangement.

For the Strategic Partnership, no performance fee is charged in any month that does not generate new profit. For Asset Management, the 5% annual management fee still applies regardless of performance, but the 30% performance fee for that quarter is simply zero. The protected floor stays exactly where it is rather than moving against you, so once the portfolio grows back above the floor, the fee applies only to the new growth above that same level, never to ground you have already covered before.

For Asset Management, withdrawal requests are submitted between the 10th and 15th of each month and are processed 15 days after submission, which gives the strategy an orderly window to exit positions without disrupting the rest of the portfolio. Capital held for 90 days or longer from its original deposit date can be withdrawn at full value. Capital withdrawn before reaching that 90 day mark carries a small fee that stays inside the fund to protect the remaining investors rather than being paid out, which keeps short term withdrawals from creating drag on long term participants. For the Strategic Partnership, your funds remain in your own account at all times and are accessible on your own schedule.

We do not publish a fixed minimum. We work with serious investors and evaluate each situation individually. The right minimum depends on which mandate fits your goals and the operational efficiency of the account at different capital levels. Submit your application and we will have a direct conversation about what makes sense.

For Asset Management, fees are calculated quarterly. We identify the growth in NAV per unit above the $10.00 protected floor, multiply by total units outstanding, and apply the 30% rate. If the quarter clears the floor, the floor resets to $10.00 for the next quarter. If it does not, the fee is zero and the actual NAV simply carries forward. The 5% annual management fee applies regardless of performance and is shown in full on your portal. For the Strategic Partnership, we track your net new profit above your contributed capital and apply the 40% rate monthly, with nothing owed in any month that produces no new profit. See worked examples of both.

The portfolio strategy covers the broader digital asset market including Bitcoin, Ethereum, and select altcoins where the risk and reward profile meets our criteria. Position sizing follows a systematic framework, and concentration limits prevent overexposure to any single asset. The specific composition at any given time is available in your investor portal holdings section.

NAV records are derived directly from exchange API data, not manually entered figures. Every daily snapshot stores the raw API response alongside the calculated NAV, so the source of every number is traceable. For Strategic Partnership clients, performance is observed directly from your own account through the read access of your API key, the same connection used to manage your strategy. There is no mechanism for Noblent Capital to report a figure that differs from what the exchange actually holds.

Complete the application below. We will be in touch within 48 hours to schedule a call with Rao directly. There is no automated funnel and no sales team, just one conversation to determine whether this is the right fit, and if so, we move to onboarding.

Apply now

Ready to invest with discipline?

Complete a short application below and we will be in touch within 48 hours. No automated funnel, just a direct conversation with Rao to determine whether this is the right fit for your situation.

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Real review, every application. One direct conversation before anything else.

Investor Portal

The Noblent Capital investor portal is currently in development. Onboarded clients will receive direct access credentials. If you are an existing client, contact Rao directly.

Apply to invest
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