NAV-based digital asset

QNT by Quantify

Built on algorithmic FX trading, disciplined valuation and structured investor access.

QNT connects digital-asset infrastructure with fully automated algorithmic FX trading strategies, official NAV methodology and reserve-backed liquidity management.

Fully automated algorithmic FX strategies
Official NAV discipline
No redemption fee
T+3 settlement
A

Algorithmic FX trading

Value creation is driven by fully automated algorithmic FX trading strategies rather than short-term market narrative.

N

Official NAV

Official NAV serves as the principal valuation reference across the product and supports consistent investor understanding.

L

Orderly liquidity

Liquidity is managed through a reserve layer, no redemption fee and clearly defined T+3 settlement timing.

T

Transparent terms

Entry terms, valuation logic and operating discipline are communicated in a clean institutional format.

What drives value

QNT is linked to fully automated algorithmic FX trading systems built for systematic execution, disciplined risk management and long-term consistency.

1

Automated execution

Trading activity is generated by automated systems designed to operate with precision, consistency and disciplined decision logic.

2

Live performance history

The underlying strategies have a minimum of three years of live results, providing a real operating track record rather than a simulated model.

3

Reference transparency

Reference links to external live-performance records can be added here to support independent review and ongoing investor due diligence.

Core structure

QNT combines algorithmic FX strategy exposure, official NAV methodology, structured issuance and reserve-backed liquidity into one coherent product model.

V

Valuation discipline

Valuation is anchored to official methodology, with NAV serving as the central reference point for the product.

R

Reserve-backed liquidity

A dedicated reserve layer supports orderly liquidity management and contributes to a more stable operating profile.

S

Structured access

Participation follows defined product terms designed for clarity, consistency and long-term alignment.

How it works

Access, valuation and liquidity are organized through a clear operating sequence designed for consistency and investor clarity.

1

Subscription request

Participation begins through a controlled subscription process aligned with product access procedures.

2

Onboarding

Requests move through the relevant onboarding and operational intake steps before allocation.

3

Official valuation

Official NAV is applied through the product’s defined valuation methodology.

4

QNT allocation

QNT is allocated in line with product terms, official valuation and the relevant operating cycle.

5

Settlement

Liquidity requests are processed through a defined settlement framework with T+3 timing and no redemption fee.

Strategy references

This section is reserved for external reference links showing live strategy history and related performance materials.

Reference link 01Live strategy record
Reference link 02Live strategy record
Reference link 03Live strategy record

FAQ

Key questions on valuation, strategy logic, liquidity and operating terms.

QNT is linked to fully automated algorithmic FX trading strategies with live operating history and official NAV methodology.
Official NAV is the principal valuation reference for the product and sits at the center of how QNT is valued.
The current terms highlight a 1.5% entry fee, no redemption fee, a 15%–20% reserve ratio and T+3 settlement.
Liquidity requests are handled through a reserve-backed framework designed for orderly processing and T+3 settlement timing.