Creation / redemption
A future primary mechanism for authorized liquidity providers is required to keep secondary-market price close to NAV.
INVEST · M30
M30 is the flagship portfolio concept: broad crypto exposure, an accumulating design, human-directed management and a strict backing firewall. It is not yet a live public investment asset.
One portfolio. Many native chains. One NAV. One asset. The architecture aims to keep assets on appropriate native chains where technically and legally practical while presenting a consolidated portfolio state.
Eligible staking and yield are intended to be reinvested inside the portfolio rather than distributed as cash. The target is net safe accumulation, not maximum nominal APY.
Mosaic Intelligence can support research, simulation and monitoring. It does not independently change portfolio weights. Human authorization remains the final portfolio-policy gate.
M30 backing is designed to remain isolated from leveraged trading, vault losses, perp insurance, company expenses, token-price support and speculative treasury use.
A future primary mechanism for authorized liquidity providers is required to keep secondary-market price close to NAV.
Retail users should ultimately interact with one asset rather than manually recreating the underlying portfolio.
Auditable holdings, consolidated NAV and proof-of-backing are foundational requirements, not optional marketing layers.