FAQ
How liquid are the investments?
All funds are deployed in liquid assets on major decentralized and centralized exchanges. We do not have lock-up periods, and withdrawals can typically be processed within a few business days, subject to a brief notification period.
How often can I withdraw my funds?
Our withdrawal policy is flexible. You can request a withdrawal at specified intervals (e.g., monthly or quarterly), as detailed in the investor agreement. We aim to process these requests promptly to provide you with access to your capital.
How secure is the custody of assets?
Asset security is a top priority. We are enhancing our custody model from a single secured wallet to include institutional-grade solutions like multi-signature wallets and Key Management Services (KMS). We also offer co-signing arrangements for investors who require it.
What kind of reporting will I receive?
You will receive regular, detailed performance reports, typically on a monthly or quarterly basis. These reports include key metrics like NAV, returns, Sharpe ratio, and drawdown. We are also developing a real-time investor dashboard.
How do performance fees work?
We operate on a profit-sharing model. A performance fee is charged only on the net profits generated. Our fees are subject to a high-water mark, which means we must recover any previous losses before earning a performance fee on new gains. This aligns our interests directly with yours.
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