Bitwise Launches Professional Portfolios for Crypto-Focused Investment Advisors

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Bitwise, a leading asset management firm, has unveiled a comprehensive suite of model portfolios specifically designed for financial advisors navigating the digital asset space. The initiative addresses a growing demand from wealth management professionals seeking structured approaches to incorporate cryptocurrency exposure into client portfolios, according to reports from the sector.

Expanding Digital Asset Exposure Through Model Portfolios

The new offering is now accessible through advisory platforms that collectively manage over a billion dollars in assets. This rollout enables financial advisors to leverage professionally constructed portfolios without building strategies from scratch. The framework eliminates guesswork by providing advisors with predetermined asset allocation models tailored to different client objectives and risk profiles. By using ETF-based solutions, advisors can offer systematic digital asset diversification while maintaining institutional-grade oversight.

Seven Portfolio Models Covering Diverse Crypto Strategies

Bitwise has structured its portfolio solutions into seven distinct models to serve varying investment philosophies. The core portfolio delivers comprehensive exposure across the broader crypto ecosystem, capturing exposure to major cryptocurrencies and emerging opportunities. Beyond this foundational option, thematic portfolios allow advisors to focus on specific narrative-driven opportunities. These include specialized models targeting stablecoins—essential for yield-seeking strategies—and asset tokenization, which represents the intersection of digital assets and real-world infrastructure. Additionally, advisors can choose from three portfolio composition types: pure crypto asset models, cryptocurrency stock models for traditional market integration, and hybrid portfolios blending both digital and traditional assets.

Intelligent Rebalancing for Long-Term Portfolio Performance

A critical differentiator in Bitwise’s approach is the commitment to systematic monitoring and rebalancing. Rather than leaving portfolios static, the firm continuously tracks model compositions to ensure they remain aligned with their intended targets and investment mandates. This active management prevents portfolio drift—a common pitfall where holdings gradually diverge from target allocations due to market movements. By maintaining disciplined rebalancing protocols, Bitwise enables advisors to deliver more predictable, professionally-managed outcomes to their clients seeking meaningful digital asset exposure.

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