XEURC-LIQ-1 Icon

$XEURC-LIQ-1

$XEURC-LIQ-1

EURC Liquidity Vault 1

XEURC-LIQ-1 is a yield vault that generates the EU risk-free rate on EURC, backed exclusively by short-dated Euro Government bonds, and has been set up as a segregated vault for a single client. Interest accrues and compounds daily with on-demand liquidity, and the architecture mirrors the prior flexible-term vault’s collateral while adding simpler, upgradable contracts and more flexible fund flow...

Non-U.S. Government Debt
Non-U.S. Institutional InvestorNon-U.S. Professional InvestorU.S. Accredited Investor+ 2 More
Explore issuer purchase options or request access through RWA.xyz.

Total Asset Value

$2.38M

1.68%from 30d ago

Net Asset Value

$1.15

0.84%from 30d ago

Holders

2

Management Fee

0.50%

EURC Liquidity Vault 1 Metrics

Key Facts

Name
EURC Liquidity Vault 1
Ticker
XEURC-LIQ-1
CUSIP
ISIN
Tokenization
Type
Tokenization Sponsorship
Issuer-Sponsored
Type
Asset Manager
Underlying Asset
Eligible Investors
Inception Date
11/13/2025
Use Of Income
Accumulates
Management
Fees
0.50%
Performance
Fees
0%

Market Data

Total Value
$2,375,084
NAV
$1.15
Price
Token Supply
2,069,412.94
Circulating Supply
2,069,412.94
7D APY
0%
30D APY
0%
Holders
2
Trailing 30D
Active Addresses
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
2,069,412.94

Primary Market

Eligible Investors
Non-U.S. Institutional Investor+ 4 More
Base Assets
EURC
Subscription Time
Instant
Min.
Investment
0 EURC
Subscription
Fees
0%
Subscription Description
Clients deposit EURC, receive OpenTrade vault tokens and a formal loan confirmation, and begin earning interest immediately.
Redemption Time
Daily
Minimum Redemption Amount
0 EURC
Redemption
Fees
0%
Redemption Description
Clients can withdraw any amount of their principal + accrued interest at anytime. Withdrawals are settled the same day, if the request is submitted prior to 18.00 UK time.
KYC Description

Service Providers

Asset Manager
Sub-Advisor

Custodian

Legal Identifier

J.P. Morgan
0000835271
Crypto Custodian
Circle iconCircle
Fund Administrator
Traditional Broker
Fidelity Investments iconFidelity Investments
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

United Kingdom

Account
Segregation
Bankruptcy
Remote
Deposit
Insurance
Terms

Fees

Management
Fees
0.50%
Performance
Fees
0%
Other Fees
Redemption
Fees
0%
Subscription
Fees
0%

Holders

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holder breakdowns

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Holders Product Screenshot