MOSAIC LABS RESEARCH / PROFESSIONAL EDITION
Mosaic Labs Research — Digital Asset Research: Asset Selection & Portfolio Architecture
A global, diversified, all-accumulating crypto portfolio architecture — conceived in the spirit of a comprehensive crypto ETF. Evidence-led asset selection, transparent weightings and risk controls form the research foundation for a future MOSAIC token designed to track this portfolio's structure.
Research edition under factual and editorial review
Cover mockup for presentation only. Final downloadable material will be confirmed separately.
Preview
Actual pages pending approval
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WHAT THIS IS
What you receive — and what to expect
Portfolio architecture: the all-accumulating global crypto ETF concept
The core research objective is to design a globally diversified crypto-asset portfolio using explicit selection rules, target allocations, periodic review, risk limits and an accumulation-oriented methodology. “Perfect” expresses the design ambition; it is not a claim of optimal performance, guaranteed returns or an existing ETF.
The proposed future MOSAIC token is intended to follow this reference portfolio's structure and methodology. Token issuance, implementation, tracking accuracy, asset backing and any legal or regulatory permissions are not represented as already operational or approved. The current research edition remains under factual review, using the historic M30 v7 archive as source material rather than live investment signals.
A professional digital-asset research edition structured around asset-selection methodology, token-economic assessment, source quality, risk analysis, scenario evaluation and portfolio architecture. It builds on the historical 346-page M30 research archive, but does not treat historical hypotheses as current verified market facts. Every material claim and data point requires editorial and factual review before a paid edition or sample is released.
The original 346-page M30 v7 archive is source material, not the finished product. The new research edition and its preview will be published only after factual review and editorial approval. Not investment advice.
Scope and deliverables
- Research methodology and source-provenance framework
- Historical 125-universe-to-44-selection methodology, pending independent source verification
- Asset selection, risk factors, supply and token value-capture analysis framework
- Historical portfolio architecture: CORE 60%, MIDDLE 30%, LONG-TAIL 10% in source ledger
- Scenario/risk categories, correction registry and historical-archive transparency
Who it is for
- Research-driven digital asset analysts and advanced readers who prefer documented methodology to promotional narratives
- Readers able to understand snapshot dates, uncertain evidence and market/technology risks
What is not included
- Live trading signals or tailored investment advice
- Managed funds, custody, execution or guaranteed returns
- An independently fact-checked 2026 final edition — editorial verification is pending
Important questions
Is this the same as the 346-page M30 report?
No. M30 is the historical source archive. The new buyer edition is being reorganized and fact-checked.
Does the historical portfolio imply current advice?
No. It is a historical research snapshot dated 5 October 2026, not a current investment recommendation.
Can I buy it today?
Not until factual, legal and delivery reviews are completed.
RELEASE STATUS
Built for transparency, not empty promises.
Pricing and purchase links will be enabled only after real content, checkout, delivery and support tests are approved.