ADAM BAKER is the Founder and sole Managing Member of both the General Partner and the Investment Advisor. As the Chief Executive Officer of Capital B Strategies, LLC, the General Partner of the Partnership, he manages an investment firm concentrating in Bitcoin exposure, Bitcoin‑related securities, ETFs, and options strategies. Adam brings a strong background in financial markets, portfolio management, and risk analysis. With nearly a decade of experience in the Bitcoin space, Adam first became involved in the industry in 2015. Prior to launching Capital B Strategies, LLC, from September 2022 to August 2023, he served as a Private Client Financial Advisor at Hilltop Securities, Inc. where he constructed and managed high‑net‑worth client portfolios, ensuring tax efficiency and risk‑adjusted performance. From December 2021 to September 2022, he conducted independent research and development of trading strategies in the Bitcoin/crypto currency space. His experience also includes roles at NexPoint Securities, Inc., Dallas Texas, where, from June 2021 to December 2021, he was employed as a Regional Sales Consultant. There he provided product expertise on alternative investments. From November 2020 to June 2021, he was employed at Robinhood Financial LLC, South Lake, Texas, as a customer experience representative. From September 2019 to November 2020, he was employed as an intern at TD Ameritrade, South Lake, Texas, where he developed skills in the client advisory and trade roles.
With a range of experience in the industry, Adam combines deep regulatory knowledge with a data‑driven investment approach. His focus is on capitalizing on Bitcoin’s macroeconomic potential, managing risk through derivatives strategies, and navigating the evolving digital asset landscape.
Adam Baker is a graduate of Texas Christian University, Fort Worth, Texas where he received a Bachelor of Science degree in Economics with a minor in General Business in May 2020. He is FINRA Series 3 (Commodity Futures Examination), FINRA Series 7 (General Securities Representative Examination), FINRA Series 65 (Uniform Investment Adviser Law Examination) and FINRA Series 63 (Uniform Investment Advisor State Law Examination) examination qualified.