Commodities Pool
Trade-finance and inventory-backed commodity exposure with 90-day cycles.
APY breakdown
- Funded offerings revenue4.50%
- Lending split2.25%
- Performance buffer0.75%
Underlying offerings
Pending allocation
This pool has not yet been allocated to underlying offerings. Composition is published after the first deposit cycle settles.
Trading bots
Automated yield strategies in development. Manual allocation today.
Trust signals
Audit & custody
Pool reserves are held in segregated SPV accounts with quarterly attestations. Audit details available on request.
Asset class
Indicative · sample asset
Underlying capacity
$5,000,000
Aggregate across funded SPVs.
Risk disclosure
Earn Pools allocate to private real-world asset offerings. Returns are not guaranteed; principal is at risk. Pool deposits are locked for the disclosed period and cannot be redeemed early. Asset valuations may fluctuate, and historical yield is not indicative of future performance. Suitable only for accredited investors who can withstand illiquidity and capital loss. Risk-disclosure version 1.0.