SkyBridge Capital is making a notable shift in its investment strategy, responding to the current market volatility influenced by President Trump's policies. The firm is reallocating its resources towards macro trading strategies, moving away from its previous focus on cryptocurrencies. The publication provides the following information: this change reflects a broader trend among investment firms adapting to the changing economic landscape.
SkyBridge Opportunity Fund's Macro Allocation Update
As of September 30, 2025, the macro allocation of the SkyBridge Opportunity Fund has seen a significant increase, reflecting a strategic pivot in the firm's approach. This decision underscores SkyBridge's adaptability to the fluctuating market conditions that are impacting interest rates and currency values.
Strategic Pivot in Response to Market Conditions
By prioritizing macro trading, SkyBridge aims to navigate the uncertainties in the financial landscape more effectively.
In light of SkyBridge Capital's recent strategic pivot towards macro trading, a new report sheds light on the evolving airdrop landscape in 2026, focusing on infrastructure-driven sectors. For more details, see read more.








