Singapore · Crypto options & volatility

Asset management and advisory for options and volatility markets

McNulty Capital Management is a Singapore-based firm focused on disciplined exposure and counsel in crypto options and related volatility markets.

Capabilities

What we do

Two complementary offerings for institutions and sophisticated counterparties seeking options- and volatility-aware engagement.

Asset Management

Managed exposure in crypto options and volatility, built around risk discipline, process clarity, and alignment with client objectives and constraints.

Advisory

Independent counsel on options structure, volatility regimes, and event-aware positioning — for allocators and desks that need clarity without operational noise.

Method

Approach

  • Model-informed process. Decisions are grounded in a structured view of volatility surfaces and market dynamics — used as tools for judgment, not as a substitute for it.
  • Risk controls first. Position sizing, scenario awareness, and clear limits sit ahead of opportunistic trading narratives.
  • Event-aware thinking. Macro, protocol, and calendar catalysts are treated as first-class inputs to how risk is framed and reviewed.

Clients & counterparties

Who we serve

Engagements are selective and confidential. Typical counterparties include:

  • Allocators evaluating crypto options and volatility exposure
  • Family offices seeking managed or advisory support
  • Crypto-native funds refining options and vol process
  • Counterparties looking for independent options and volatility advice

Firm & Principal

About

The firm

McNulty Capital Management Pte. Ltd. is a Singapore private limited company (UEN 202329748D), incorporated on 27 July 2023.

The firm’s focus is client-facing asset management and advisory — bringing institutional discipline to crypto options and volatility.

Sean McNulty

Sean McNulty is Principal and Director of McNulty Capital Management. Based in Singapore, he works with allocators and counterparties on options and volatility — from process design and risk framing to managed exposure where appropriate.

His background spans institutional FX options and crypto derivatives. At J.P. Morgan he traded G10 FX options on the APAC desk through a full macro cycle. He later built pricing, surface, and risk infrastructure as a senior trader at Coinhako, served as Director of Trading at Arbelos Markets, and is Derivatives Trading Lead at FalconX — with a focus on options market making, structured flow, and disciplined inventory and risk management across major crypto volatility surfaces.

Across multiple years and market regimes, that work has emphasized consistent risk-adjusted outcomes, drawdown control, and process over narrative.

Sean holds an MBA from the National University of Singapore — where he served as Student Council President and received the NUS MBA Excellence Award and NUS Alumni Leadership Award — with exchange terms at NYU Stern and London Business School. He earned a Bachelor of Commerce (Finance) with a minor in Economics from the Sauder School of Business at the University of British Columbia.

Public resources

Tools & media

Selected dashboards and channels Sean publishes alongside the firm’s advisory work.

Inquiries

Contact

All inquiries are treated as confidential. We respond as capacity allows.

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