Compare
Normalised product comparison
Put products side by side. Issuers publish fees, yields and redemption terms in different formats, so every figure here has been converted to the same basis first. Rows are grouped into economics, liquidity, access and regulation, infrastructure, and how well sourced the data is.
Normalised comparison
As of 29 Aug 2026
INX Security Token
INX· INX
Identity
Ticker
INX
Issuer
Asset class
Equity
Product structure
Security Token
Underlying asset
INX Limited Equity / Revenue Share
Launched
01 Aug 2020
Economics
Yield
5.00%
Yield basis
30-day trailing APY
Expense ratio
0.00%
Yield net of fee
5.00%
AUM
$80.0M
25D AUM change
-
NAV per token
0.5000 USD
Base currency
USD
Weighted average maturity
0d
Liquidity
Redemption frequency
Intraday
Dealing cut-off
24/7
Settlement
T+1
Redemption fee
None
Secondary venues
INX ONE
Access & regulation
Investor eligibility
RetailAccreditedInstitutional
Minimum investment
$0
Available in
USEUGISG
Prohibited
Issuer jurisdiction
Fund domicile
GI
Legal structure
US Reg D / 3(c)(7) Fund
Allow-list required
Yes
Transfer restrictions
KYC required.
Infrastructure
Networks
1
Custodian
Administrator
Transfer agent
-
Tokenization platform
Oracle / attestation
None
Highlighted cells mark the most favourable value on rows where a single direction is unambiguously better (higher yield, lower fee, lower minimum, faster redemption, shorter maturity, greater scale, better coverage). Rows marked * carry a caveat: hover the label. Yields quoted on different bases are not directly comparable; product structure changes what you legally own. This is data, not a recommendation.