Include a description of which type of investor profile your pool wants to attract, how it will be managed, and overall details that may interest people who are looking for a basket to invest in.
Complete with the asset's names and their respective allocation percentage.
Explain the criteria used for managing the pool's chosen assets and their allocation.
Explain how you will determine the replacement of tokens when updating the pool.
Explain how you will determine the asset allocation when updating the pool.
Inform how much liquidity you intend to add to your pool.
This flat fee is measured as an annual percentage of total assets under management. It accrues continuously.
This fee is to allow brokers to receive a share of the deposit fee when they complete a sale.
This fee refers to the percentage earned by the manager for each new deposit in the pool.