Asset

Issuer

Asset Type

Asset Classes

Anemoy Liquid Treasury Fund 1

Anemoy Liquid Treasury Fund 1

Asset classes

Issuer Anemoy

Regulation British Virgin Islands (“BVI”) financial authorities

Location

Metrics

Price $ 1.034637

Assets Under Management $ 37,898,304

As of Sept. 11, 2024

Description

Anemoy Liquid Treasury Fund 1 is a fully onchain, actively managed US Treasury Yield Fund.

The fund has its structured licensed in British Virgin Islands and is open to non-US Professional Investors.

The fund balances monthly, offers daily redemptions. The investments are made of US Treasury Bills with a maximum maturity of 6-months, and focuses on maximizing interest rates and minimizing price and duration risks.

US Treasury Bills are held directly by the fund, price and asset under management metrics can be viewed on Centrifuge platform.

The fund issues its shares as tokens to the investors. Investments and redemptions are processed in USDC stablecoin.

Smart Contracts

Glchufggpsdhdberdiwqklpz

Ethereum Ethereum

ERC-20

406485341201210164581621667345356596961804

Nupelrigxrkiqgdpwtgmm

Base Base

ERC-20

789523837949785013728586755947742867183528

Tsxbdogmmuczprwlbnmakcksj

Celo Celo

ERC-20

656432660877359213943410611392803928638507

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