Portfolio composition
Six strategy sleeves, diversified across asset classes and held under a documented mandate. (placeholder copy, pending review)
Yield
Direct lending and specialty-finance exposures, sourced and underwritten for yield.
Income
Income-generating real assets held for cash yield and inflation resilience.
Growth
Listed and growth-equity positions for long-term capital appreciation.
Stability
Investment-grade fixed income alongside Sharia-compliant capital-market instruments.
Digital
Regulated digital-asset and tokenised-instrument exposure held under institutional custody.
Diversifier
Multi-strategy fund interests providing uncorrelated, absolute-return diversification.
Available notes
The strategy sleeves above are composed from real, documented notes. Each carries its own terms, pricing and independent NAV. Live from the index — no self-serve buy button here; access begins with a conversation.
Tradable
Tokenised notes whose per-token price references NAV (par 100), struck by an independent administrator. Tokenised — not on-chain settlement; nothing here is bought without KYC and login in the app.
Value is not guaranteed and can fall as well as rise; capital is at risk. Any per-unit or per-token price shown is the live net asset value struck by an independent administrator on a set cadence; it is indicative, not an offer or a quote to deal.
Methodology
Allocations are maintained through periodic rebalancing; product selection follows the documented mandate with independent oversight of pricing and custody. Full methodology in the offering documents.
We start with your eligibility and your questions, then share the offering documents.