Positioning & Advantages
Low Entry Barrier
CICADA Finance’s competitive advantages are reflected in its systematic delivery of security, compliance, accessibility, and composability. By combining smart contracts with compliant custody architectures, CICADA Finance aims to enable broad participation—serving both institutions and individuals—while maintaining transparent auditability and structured operational controls.
Institutional-grade secure custody: Enterprise-level onchain security solutions and compliant custody schemes, designed to reduce fund misuse risk
Low-threshold experience: Users can access onchain asset management without requiring professional knowledge (product-specific minimums may apply)
Global accessibility: Supports mainstream chains and wallet access
Premium strategy aggregation: Curates high-quality strategy combinations and structures them into standardized onchain products
Superior Capital Liquidity
CICADA Finance treats liquidity as an extension of returns. Through onchain liquidity pools and structured subscription/redemption channels, the platform aims to provide liquidity experiences beyond traditional asset management.
Efficient subscription/redemption: Subscription/redemption channels are designed to improve accessibility, with some assets supporting more immediate exit paths
Short-cycle settlement design: Optimizes capital circulation efficiency
Secondary market potential: Yield-bearing assets and structured tokens may be traded, used, or integrated into DeFi use cases, subject to market conditions and protocol integrations
Maximize Capital Efficiency
CICADA Finance introduces DeFi composability into asset management, enabling assets to participate in broader onchain financial flows.
Rehypothecation: Assets may be used in collateral, lending, options, and structured scenarios (integration-dependent)
Yield tokenization: Yield exposure may be reusable in lending, liquidity, and principal-interest separation structures (integration-dependent)
Hybrid Yield
CICADA Finance constructs a multi-layer yield structure designed to provide both stable returns and ecosystem upside.
Base yields: Derived from real underlying strategies and asset performance
Hybrid yields: Additional ecosystem overlays from partners, incentives, and onchain participation programs
Tech Issuance
CICADA Finance is both an onchain asset management platform and a technical issuer, providing Tech Issuance Solutions and protocol support for integrating real assets and crypto-native strategies onchain. Through standardized structures, Hybrid Yields frameworks, and liquidity management mechanisms, CICADA Finance aims to deliver screened real-world asset returns and strategy returns to users via transparent onchain processes.CICADA Finance is committed to driving onchain asset management with real value, rather than inflationary incentives or Ponzi-like structures.
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