Edenex
Fiat instruments

Sovereign bond sleeve

Mature, established investment products in USD, EUR, and other fiat. Money market, treasury, commercial paper, and sovereign bonds for institutional capital.

Core

Sovereign

Liquid

Target yield

5.4%

Target yield on fiat-denominated instrument under current market conditions.

Duration

2-5Y

Duration

Min ticket

$1M

Min ticket

Structure

Diversified sovereign portfolio

Structure

Subscription window

After submission, DFTP validates eligibility, reserves allocation capacity, and routes the request into compliance and settlement setup.

Subscription terms

Allocation windowOpen

$30M

$20M allocated$30M remaining$50M total

Open window · $30M remaining · expected close 2026-12-31.

Entry terms

$1M

$1M minimum per request.

Settlement route

Fiat

Subscriptions route through Fiat.

How subscription works

01Documentation reviewReview product terms, risk disclosure, and subscription agreement before confirming.
02Funding routeSelect settlement rail first, then choose the compatible funding account or wallet.
03Submission pathAfter submission the request moves into compliance, allocation, and final funding workflow.

Investment profile

Strategy
Core sovereign fixed income
Target Return
5.4%
Term Profile
2-5 years
Liquidity
Secondary market
Minimum Allocation
$1M
Operating Rail
Fiat
Risk Posture
Low volatility

Access and eligibility

Subscription windowOpen
Open · $30M visible · expected close 2026-12-31.
Investor access
min allocation $1M · liquidity Secondary market.
Settlement and operations
Subscriptions route through Fiat.
Investor verification
Entry requires verified investor profile, onboarding completion, and allocation availability.
Instrument markers
Sovereign · Liquid.

Sovereign

Liquid

How it works

01StructureDiversified sovereign portfolio
02AssetUS, EU, UK sovereign bonds
03Duration2-5 year duration
04LiquiditySecondary market liquidity
05Use caseCore fixed income sleeve

Investment fit

Portfolio fitSovereign bond sleeve · Core institutional fixed income.
Return source5.4%.
Access profileMin ticket $1M · duration 2-5Y.
StructureDiversified sovereign portfolio · Secondary market access.
Risk and eligibilitySovereign credit with duration risk in 2-5Y range.

Key constraints and status

Open
Allocation statusOpen · available allocation $30M · expected close 2026-12-31.
Liquidity constraintExit or redemption is governed by Secondary market.
Operating dependencyExecution depends on Fiat.
Subscription gatingFinal entry remains subject to onboarding, verified investor profile, and allocation availability.
Primary risk noteSovereign credit with duration risk in 2-5Y range.