I am interested in looking more closely at the fund and understanding your structure. Thank you.
I am thinking about
- Structure. This is VERY INTERESTING because you are providing the same underlying investments to LP owners, and token owners. Do token owners get the same ROI? Or, are their costs and uninvested periods that reduce ROI? The goal is to get almost the same ROI. Maybe you are making progress to that goal.
- What is the disclosure strategy? This fund promises that owners of the token will be able to trade out. However, we need to do more work in order to attract bids. Securities with very limited disclosure have a difficult time attracting bids, and often trade below fair value, which is bad for the issuing fund.
- Compliance. How will you protect yourself from securities laws in other countries, and provide tax reporting for investors?