Money MarketBeta
Information
DescriptionThe “Money Market” strategy is designed for investors who prioritize stability, liquidity, and minimal risk. The main goal is to deliver the highest possible returns by utilizing the most reliable financial instruments in both traditional and decentralized finance. The manager strictly adheres to position limits and uses only the most reliable instruments to minimize risks. Depending on market conditions, the portfolio structure can be adjusted to maintain a balance between yield and safety.
Detailed documentation

Commissions
Management fee
0%
Performance fee
20%
Early withdrawal
Not charged
Activation fee
Not charged
Risks
DisclaimerInvestments involve risk. While we strive to minimize risks through asset diversification and strict security measures, market fluctuations, regulatory changes, and other factors may affect the value of your investments. Past performance does not guarantee future returns. Before making investment decisions, we recommend assessing your risk tolerance and consulting with a financial advisor. In the documentation, we have described the specific risks inherent to each fund.
More about risksSafety guideLearn how to protect your digital assets and minimize risks. In our guide, you will find practical advice on safe fund storage, authentication practices, and preventing potential threats.