- AUM
- $12.0M
- 0D change
- -
- Yield · 7-day net
- 5.10%
- NAV
- 1.0000
- Expense ratio
- 0.15%
- Minimum
- $100.0K
- Redemption
- Daily
- Launched
- 01 Jan 2023
Depends onSmart Contracts
Field coverage 92%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 US Treasury Bill product by Fortunafi.
- Underlying asset
- US Treasury Bills
- Asset class
- Tokenized Treasury
- Product structure
- Tokenized Fund
- Legal structure
- BVI Professional Fund
- Issuer jurisdiction
- Fund domicile
- KY
- 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.
Issuer
Who runs it
Fortunafiglobal
Issuer of tokenized real-world assets including US Treasury bills.
Portfolio
Composition
- US Treasury Bills99.0%
- Cash1.0%