- AUM
- $45.0M
- 0D change
- -
- Yield · 7-day net
- 5.15%
- NAV
- 102.5000
- Expense ratio
- 0.50%
- Minimum
- $100.0K
- Redemption
- Daily
- Launched
- 15 Apr 2023
Depends onBNY
Field coverage 96%Primary-source or on-chain verified 100% of tracked metrics1/1 source documents analyst-verifiedLast reconciled 05 Oct 2026
Overview
What this product is
An on-chain cash management solution by Maple Finance that invests exclusively in US Treasury bills.
- Underlying asset
- 1-month US Treasury Bills
- Asset class
- Money Market Fund
- Product structure
- Tokenized Fund
- Legal structure
- BVI Professional Fund
- Issuer jurisdiction
- Fund domicile
- British Virgin Islands
- Base currency
- USD
- Launched
- 15 Apr 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
Maple FinanceBritish Virgin Islands
An institutional capital network providing undercollateralized loans for institutional borrowers.
Portfolio
Composition
- 1-month US Treasury Bills100.0%