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Finova Capital

www.finova-capital.com

VCMatch tracks Finova Capital as an investor focused on Blockchain Crypto companies and Israel, United States, and China markets. Upload your deck to compare your startup against the full private matching profile.

Check Size

Not specified

Stages

Not specified

Focus Areas

Blockchain Crypto

Geography

Israel, United States, and China

Investment Thesis

The firm positions itself as a conservative, active manager of blockchain-based digital assets that combines long-term exposure with active risk management. They emphasize continuous monitoring and dynamic position sizing while using hedging instruments to limit downside in a highly volatile market, and they leverage deep market knowledge and institutional-grade infrastructure selection.

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Investment Focus

Who should take a closer look

Finova Capital is most relevant for founders raising venture-backed rounds in Blockchain Crypto, especially across Israel, United States, and China.

Focus statement

Focused on providing "managed, diversified and secure" exposure to digital assets and blockchain technology (not limited to Bitcoin), using hedging (options, futures) and active portfolio management to balance long-term upside with risk control.

Value Add

  • Active hedging capability: they explicitly "מגדרים במקרים מסוימים באמצעות אופציות וחוזים עתידיים" (hedge in certain cases using options and futures).
  • Dynamic, active position management: they perform "ניהול אקטיבי הכולל הקטנה והגדלה של פוזיציות בהתאם למצב השוק" (active management including decreasing and increasing positions according to market conditions).
  • Conservative infrastructure selection and formal operational safeguards: "אנו נוקטים בגישה שמרנית ומשנה זהירות בבחירת התשתיות הרלוונטיות ופועלים תחת רולינג מס ועם בנק ישראלי."
  • Proven crisis resilience: "צלחנו תקופות של משברים בשוק ולא נפגענו מקריסות של בורסות מובילות" — they claim to have withstood market crises without being harmed by major exchange collapses.
  • Experienced leadership team with institutional backgrounds (risk management, large AUM investment management, regulatory/credit roles and IDF 8200 alumnus).
  • Thought leadership and investor education via regular blog commentary and detailed pieces on strategy, instruments and macro/regulatory trends.

Stage And Sector Fit

Investment Team

3 Partners at Finova Capital

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