MI4 Icon

Mantle Index Four Fund

This fund offers diversified exposure to leading cryptocurrencies by tracking a market-cap-weighted index of top Layer 1 and Layer 2 tokens, including assets like BTC, ETH, and SOL. Designed to function as the crypto equivalent of the S&P 500, it allows investors to access broad crypto beta without managing wallets or selecting individual assets. The portfolio is rebalanced quarterly and includes ...

Active Strategies
U.S. Accredited InvestorNon-U.S. Professional Investor
Explore issuer purchase options or request access through RWA.xyz.

Total Asset Value

$163.51M

▲+9.99%from 30d ago

Net Asset Value

$122

▲+7.90%from 30d ago

Holders

1

▼83.33%from 30d ago

Management Fee

1.00%

Mantle Index Four Fund Metrics

Key Facts

Name
Mantle Index Four Fund
Ticker
MI4
CUSIP
—
ISIN
—
Platform
Tokenization
Type
Tokenization Sponsorship
Issuer-Sponsored
Type
—
Underlying Asset
—
Eligible Investors
Inception Date
04/15/2025
Use Of Income
—
Management
Fees
1.00%
Performance
Fees
0%

Market Data

Total Value
$163,506,503
▼
NAV
$122
Price
—
Token Supply
1,345,232.25
▼
Circulating Supply
1,345,232.25
▼
7D APY
—
30D APY
—
Holders
1
▼
Trailing 30D
Active Addresses
1
Monthly
Transfer Count
0
Monthly
Transfer Volume
$0

Tokens

Network
Type
Tokenization
Type
Token Standard
Token Supply
Circulating Supply
Bridged Supply
Holders
Trailing 30D
Active Addresses
Monthly
Transfer Volume
Monthly
Transfer Count
Contract Address
Native
ERC-20
1,345,232.25
▼

Primary Market

Eligible Investors
U.S. Accredited InvestorNon-U.S. Professional Investor
Base Assets
USDC
Subscription Time
Weekly
Min.
Investment
100,000 USDC
Subscription
Fees
0%
Subscription Description
Subscriptions for Interests are generally accepted as of each Wednesday.
Redemption Time
Weekly
Minimum Redemption Amount
0 USDC
Redemption
Fees
0%
Redemption Description
Redemptions are initiated weekly (each Wednesday or next business day) but may be subject to delays due to market conditions or blockchain settlement mechanics and subject to a one month hold period after subscription.
KYC Description
—

Service Providers

Platform
Sub-Advisor
—

Custodian

Legal Identifier

OSL Digital Securities Limited
Crypto Custodian
OSL Digital Securities Limited iconOSL Digital Securities Limited
Fund Administrator
Securitize Fund Services iconSecuritize Fund Services
Traditional Broker
—
Crypto Broker
—
Auditor
KPMG iconKPMG
Transfer Agent
Securitize iconSecuritize
Paying Agent
—

Legal & Regulatory

Issuer
Mantle Index Four
Issuer LEI
—
Issuer CIK
—
Domicile
British Virgin Islands Flag
British Virgin Islands
Regulatory Framework

British Virgin Islands Securities and Investment Business Act

FSC - British Virgin Islands Financial Services Commission

Dispute Resolution Country

British Virgin Islands

Account
Segregation
Bankruptcy
Remote
Deposit
Insurance

Fees

Management
Fees
1.00%
Performance
Fees
0%
Other Fees
—
Redemption
Fees
0%
Subscription
Fees
0%