- Value issued
- $80.0M
- 0D change
- -
- Yield · 30-day trailing APY
- 5.00%
- NAV
- 0.5000
- Expense ratio
- 0.00%
- Minimum
- $0
- Redemption
- Intraday
- Launched
- 01 Aug 2020
Depends onSmart Contracts
Field coverage 88%Primary-source or on-chain verified 0% of tracked metrics0/0 source documents analyst-verifiedLast reconciled 29 Aug 2026
Overview
What this product is
SEC-registered security token offering revenue sharing.
- Underlying asset
- INX Limited Equity / Revenue Share
- Asset class
- Equity
- Product structure
- Security Token
- Legal structure
- US Reg D / 3(c)(7) Fund
- Issuer jurisdiction
- Fund domicile
- GI
- Base currency
- USD
- Launched
- 01 Aug 2020
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
INX LimitedUS
Regulated digital asset exchange.
Portfolio
Composition
- INX Revenue Share100.0%