allChained
LTF2Real-World Asset

Anemoy Liquid Treasury Fund

Anemoy· BVI
Value of backing
$13.6M
0D change
-
Yield · 30-day trailing APY
4.67%
NAV
1.0000
Expense ratio
0.10%
Minimum
$1.0K
Redemption
Daily
Launched
01 Jan 2023
Field coverage 96%Primary-source or on-chain verified 0% of tracked metrics0/1 source documents analyst-verifiedLast reconciled 08 Oct 2026
Overview

What this product is

Tokenized representation of Anemoy Liquid Treasury Fund.

Underlying asset
Underlying Asset Pool
Asset class
Tokenized Treasury
Product structure
Security Token
Legal structure
US Reg D / 3(c)(7) Fund
Issuer jurisdiction
United States
Fund domicile
US
Base currency
USD
Launched
01 Jan 2023
Peer set

Comparable products

Products in the same asset class and currency. Yields are quoted on different bases, so check each one before comparing.

BUIDL4.16%0.50%$5.0M$1.81B
USDY4.25%0.50%$500$1.42B
USTB4.11%0.15%$100.0K$598.2M
JTRSY4.18%0.35%$100.0K$323.3M
OUSG4.04%0.15%$100.0K$321.5M
USDM5.00%0.30%$0$150.0M
TBILL5.10%0.20%$1.0K$110.0M
Issuer

Who runs it

AnemoyBVI

An asset manager and fund administrator on the Centrifuge protocol.

Portfolio

Composition

  • US Treasury Bills99.0%
  • USD Cash1.0%
Weighted average maturity
30 days