$XDFIS2
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OpenTrade (Perimeter Protocol)
XDFIS2 Icon

Diversified Fixed Income Strategy Vault 2

The investment opportunity represents a diversified portfolio of RWAs, primarily Fixed Income, designed to provide the clients with the set rate of return updated every 30 days.
Distributed Asset
Diversified Credit
Institutional InvestorProfessional InvestorU.S. Qualified PurchaserAccredited InvestorU.S. Accredited Investor
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Learn more about this asset directly from the issuer's website.

Total Asset Value

$192,919

Net Asset Value

$1.01

+0.57%from 30d ago

Holders

1

7D APY

7.70%

0.00%from 7d ago

Diversified Credit Metrics

Show % of Total

Key Facts

Name
Diversified Fixed Income Strategy Vault 2
Ticker
XDFIS2
CUSIP
ISIN
Tokenization Type
Manager
Underlying Assets
Eligible Investors
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Institutional Investor+ 4 More
Inception Date
03/03/2026
Use Of Income
Accumulates
Management Fees
0%
Performance Fees
0.50%

Market Data

Total Value
$192,919
NAV
$1.01
Price
Token Supply
191,823.64
Circulating Supply
191,823.64
7D APY
7.70%
30D APY
4.73%
Holders
1
Trailing 30D Active Addresses
Monthly Transfer Count
0
Monthly Transfer Volume
$0

Tokens

Network
Type
Token Standard
Token Supply
Circulating Supply
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Bridged Supply
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Holders
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Trailing 30D Active Addresses
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Monthly Transfer Volume
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Monthly Transfer Count
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Contract Address
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Native
ERC-20
191,823.64
191,823.64
191,823.64
1
$0
0

Primary Market

Eligible Investors
Institutional Investor+ 4 More
Base Assets
USDC
Subscription Time
Instant
Min. Investment
0 USDC
Subscription Fees
0%
Redemption Time
Daily
Minimum Redemption Amount
Redemption Fees
0%

Service Providers

Manager
Sub-Advisor

Custodian

Legal Identifier

J.P. Morgan
0000835271
Crypto Custodian
Fund Administrator
Traditional Broker
Crypto Broker
Auditor
Transfer Agent
J.P. Morgan iconJ.P. Morgan
Paying Agent

Legal & Regulatory

Issuer
OpenTrade
Issuer LEI
Issuer CIK
Domicile
Cayman Islands Flag

Cayman Islands

Regulatory Framework

Non-Regulated

Dispute Resolution Country
Account Segregation
Bankruptcy Remote
Deposit Insurance
Terms
Management Fees
0%
Performance Fees
0.50%
Other Fees
50 bps APR fee is applied to the total AUM of the underlying portfolio.
Redemption Fees
0%
Subscription Fees
0%