Managing Crypto Asset Analysis
When To Use
- Coordinating due diligence on a cryptocurrency or digital asset for investment, lending, or custody decisions
- Structuring a protocol-level evaluation for a Layer 1, Layer 2, or DeFi project
- Preparing a management-level report on crypto market exposure, portfolio composition, or risk posture
- Assessing a token's fundamentals before listing, integration, or partnership decisions
- Reviewing digital asset holdings for regulatory reporting or audit preparation
Inputs To Gather
- Asset identification: Token name, ticker, contract address(es), chain(s) deployed on, token standard (ERC-20, SPL, BEP-20, etc.)
- On-chain data: Total supply, circulating supply, holder distribution, transaction volume, active addresses, smart contract audit status
- Protocol documentation: Whitepaper, technical docs, governance framework, roadmap, changelog history
- Market data: Price history, trading volume across exchanges (CEX and DEX), liquidity depth, market cap ranking
- Team and governance: Core team backgrounds, DAO structure, multisig configuration, treasury holdings, vesting schedules
- Regulatory context: Token classification posture (utility vs. security vs. commodity), jurisdiction of issuer, any enforcement actions or no-action letters [VERIFY]
- Competitive landscape: Comparable protocols, market share metrics, TVL (Total Value Locked) benchmarks where applicable
Workflow
Define scope and asset classification
- Confirm whether the asset is a Layer 1 native token, Layer 2/rollup token, DeFi governance token, stablecoin, wrapped asset, NFT collection, or other category
- Establish the analysis purpose: investment thesis, risk assessment, custody eligibility, regulatory compliance, or portfolio rebalancing
- Identify the audience (investment committee, compliance team, board, external auditors)
Conduct protocol-level evaluation
- Review consensus mechanism, validator/node economics, and network security model
- Assess smart contract risk: audit history, bug bounty program, incident history, upgradeability patterns (proxy contracts, timelocks)
- Evaluate decentralization metrics: Nakamoto coefficient, validator concentration, governance participation rates
- Examine tokenomics: inflation/deflation schedule, staking yields, fee burn mechanisms, treasury runway
Perform market and liquidity analysis
- Map trading venues and assess liquidity depth (order book depth at 1% and 2% slippage)
- Identify concentration risk: percentage of supply held by top 10/50/100 wallets
- Review historical volatility, correlation to BTC/ETH, and drawdown patterns
- Flag wash trading indicators or abnormal volume spikes [VERIFY exchange-reported vs. adjusted volume]
Assess regulatory and compliance posture
- Determine token classification under applicable frameworks (Howey test, MiCA, MAS guidelines) [VERIFY jurisdiction-specific rules]
- Check sanctions screening status (OFAC, EU sanctions lists) for contract addresses and known team wallets
- Review AML/KYC posture of primary trading venues
- Note any pending or concluded regulatory actions against the issuer or protocol
Synthesize risk matrix and recommendations
- Score across dimensions: technology risk, market risk, liquidity risk, regulatory risk, counterparty risk, smart contract risk
- Assign an overall risk tier (e.g., Low / Medium / High / Do Not Proceed)
- Provide actionable recommendations: position sizing guidance, hedging considerations, monitoring triggers, rebalancing thresholds
Compile management report and coordinate review
- Draft executive summary with key findings and risk tier
- Circulate to relevant stakeholders (portfolio managers, compliance, legal)
- Track open items, pending verifications, and escalation flags
- Set review cadence (monthly, quarterly) based on asset volatility and materiality
Output
The deliverable is a Crypto Asset Analysis Report structured as:
- Executive Summary: Asset name, classification, risk tier, key recommendation (1 paragraph)
- Protocol Overview: Chain, consensus, tokenomics summary, audit status
- Market Assessment: Liquidity profile, price performance, holder concentration
- Risk Matrix: Scored table across technology, market, liquidity, regulatory, and smart contract dimensions
- Regulatory Status: Classification posture, sanctions screening results, compliance flags [VERIFY]
- Recommendations: Position guidance, monitoring triggers, next review date
- Open Items: Unresolved verifications, pending data, escalation items marked with [VERIFY]
Quality Checks
- All on-chain data references include block explorer links or data provider sources (e.g., Etherscan, Dune, DeFiLlama)
- Token supply figures reconcile between CoinGecko/CoinMarketCap and on-chain contract queries — flag discrepancies
- Smart contract audit citations include auditor name, date, and scope — note if audit predates significant contract upgrades
- Regulatory classification analysis cites the specific framework applied and notes jurisdictional limitations [VERIFY]
- Liquidity figures distinguish between reported and adjusted volume; note methodology
- Risk scores use a consistent rubric defined at the top of the matrix — no ad hoc ratings
- Report clearly separates factual findings from analyst opinions and forward-looking statements
- All [VERIFY] tags are resolved or explicitly carried forward as open items before final distribution