Edenex
Structured and treasury instruments

Dynamic yield allocator

Capital-protected and treasury-style products for investors who want diversified exposure beyond direct deal allocation and pure staking.

Adaptive

Allocation model driven

Diversified

Target net yield

11.1%

Expected net yield from structured product sleeve after fees.

Min ticket

$150K

Min ticket

Rebalance

Monthly

Rebalance

Structure

Dynamic sleeve across lending and staking

Structure

Subscription window

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

Subscription terms

Allocation windowOpen

$3M

$2M allocated$3M remaining$5M total

Open window · $3M remaining · expected close 2026-05-15.

Entry terms

$150K

$150K minimum per request.

Settlement route

Hybrid

Subscriptions route through Hybrid.

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
Dynamic multi-strategy allocator
Target Return
11.1%
Term Profile
Open-ended, monthly cycles
Liquidity
Monthly rebalance windows
Minimum Allocation
$150K
Operating Rail
Hybrid
Risk Posture
Moderate volatility

Access and eligibility

Subscription windowOpen
Open · $3M visible · expected close 2026-05-15.
Investor access
min allocation $150K · liquidity Monthly rebalance windows.
Settlement and operations
Subscriptions route through Hybrid.
Investor verification
Entry requires verified investor profile, onboarding completion, and allocation availability.
Instrument markers
Allocation model driven · Diversified.

Allocation model driven

Diversified

How it works

01StructureDynamic sleeve across lending and staking
02OverlayMandate and volatility controls
03RebalanceMonthly rebalance
04FocusMulti-strategy allocation model
05ObjectiveMaximize risk-adjusted yield

Investment fit

Portfolio fitDynamic yield allocator · Multi-strategy diversified sleeve.
Return source11.1%.
Access profileMin ticket $150K · monthly rebalance.
StructureDynamic sleeve · Lending + staking · Volatility overlay.
Risk and eligibilityMandate-controlled volatility with multi-strategy diversification.

Key constraints and status

Open
Allocation statusOpen · available allocation $3M · expected close 2026-05-15.
Liquidity constraintExit or redemption is governed by Monthly rebalance windows.
Operating dependencyExecution depends on Hybrid.
Subscription gatingFinal entry remains subject to onboarding, verified investor profile, and allocation availability.
Primary risk noteMandate-controlled volatility with multi-strategy diversification.