FAQ

NAV Frequently Asked Questions (FAQ)

General Questions

What is NAV? NAV is a regulated quantitative hedge fund offering innovative Structured Investment Products (SIPs) for exposure to various cryptocurrency market strategies.

How is NAV different from other crypto investment platforms? NAV is regulated, offers professionally managed SIPs, and combines traditional finance with DeFi. It focuses on risk management, transparency, and compliance.

Is NAV regulated? Yes, NAV is a fully regulated hedge fund under the British Virgin Islands (BVI).

What are Structured Investment Products (SIPs)? SIPs are investment vehicles that provide targeted exposure to specific market segments or strategies in crypto, optimizing returns while managing risk.

Security and Compliance

How does NAV ensure the safety of invested funds? NAV uses multi-signature wallets, cold storage, and regular security audits, partnering with reputable custodians for asset security.

Is NAV compliant with AML/KYC regulations? Yes, NAV complies with all AML and KYC regulations. All investors must complete the KYC/AML verification process before investing.

Investment Questions

What types of SIPs does NAV offer? NAV offers SIPs like the Cross-Chain Yield Maximizer SIP and the Directional SIP, catering to different investment goals and risk profiles.

What is the minimum investment amount for NAV's SIPs? The minimum investment is $5,000, with plans to reduce this in the future.

How can I invest in NAV's SIPs? Create an account on the NAV platform, complete the KYC/AML verification, and initiate a deposit at least 14 days before the 1st of the month.

What are the fees associated with investing in NAV's SIPs? NAV charges a 2% management fee and a 20% performance fee, with 10% of the performance fee used to buy and burn NAV tokens. There are no deposit fees.

Deposits and Withdrawals

How do deposits work for NAV's SIPs? Deposits operate on a monthly cycle (epoch). Initiate your deposit at least 14 days before the 1st of the month. Funds are held until the epoch date and then invested.

How can I withdraw my funds from a SIP? Submit a withdrawal request through the NAV platform. Withdrawals are processed on the 1st of each month, with NAV Consulting calculating the net asset value.

Are there any withdrawal fees? Yes, withdrawal fees start at 1% for investments held less than 3 months and decrease to 0% for investments held over a year.

SIP Portfolio Tracking

How can I track the performance of my SIP investments? Track your SIP portfolio performance and net asset value through your personalized dashboard, updated monthly after a formal audit by NAV Consulting.

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