Today, Acuiti releases the Q1 2025 Crypto Derivatives Management Insight Report.
This quarter, we examine the evolving landscape of crypto derivatives in 2025, focusing on regulatory developments, market risks, and institutional adoption trends.
In this report, we look at:
- How will a prospective comprehensive US regulatory framework affect institutional crypto adoption?
- What risks are associated with market volatility and meme-coin schemes?
- How is Trump’s vision for the US as a crypto hub shaping regulations?
- How are crypto firms navigating risks and opportunities under Trump 2.0?
- What trends are emerging in yield-bearing collateral and risk management?
PLUS: A look into the viability of MicroStrategy.
This report is based on a survey of the Acuiti Crypto Derivatives Expert Network, a group of senior executives from hedge funds, asset managers, proprietary trading firms and sell-side institutions operational in crypto derivatives markets.
Download the full report below.
This report is available to asset managers, proprietary trading firms, hedge funds, banks, FCMs and brokers. For all other company types, contact Will Mitting for information on subscriptions.