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Kaia Multi-Asset Yield Fund

kaia multi-asset yield fund

The Kaia Multi-Asset Yield Fund is a short-duration private credit strategy focused on generating consistent, risk-adjusted income with controlled downside volatility.

 

With a flexible, globally oriented mandate with a focus on Asia, the fund combines top-down macro insights with bottom-up credit analysis to allocate across opportunities, while maintaining disciplined liquidity management and selectively using cash or money market instruments to preserve capital and enhance returns.

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fund strategy

The Kaia Multi-Asset Yield Fund seeks to generate alpha by capturing mispriced credit opportunities within niche domains. The fund leverages on-chain operational efficiencies to minimize cost leakage and provide enhanced liquidity for investors. 

  • Core Assets: Focused on short-duration, self-liquidating exposures including Secured Private Credit, Receivables/Invoices, and Trade-linked Working Capital. 

  • Liquidity Sleeve: Strategic allocation to Government Treasuries and Cash Equivalents to manage redemptions and mitigate volatility. 

  • Ecosystem Utility: Serves as an institutional-grade deployment venue for idle liquidity within USD and local stablecoin pools, fostering the growth and stability of the Kaia mainnet ecosystem. 

"This website has not been reviewed by the Monetary Authority of Singapore.” (reg. 46(2)(f) SF(LCBR)).

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