What are the advantages of Cicada?
Key Differentiating Advantages of Cicada
Focus on Real Returns Over Narrative Premium
Cicada prioritizes verifiable, high-yield assets; including real-world assets (RWA), on-chain protocol returns, and centralized finance (CeFi) strategy returns, rather than relying on market sentiment or speculative token valuations.
Innovative Mechanisms
a. Revenue Distribution: Through the LT-RT model, project revenue is redistributed to token holders, enhancing token value appreciation and storage. This approach surpasses traditional dividend and repurchase models in efficiency and impact.
b. Enhanced Liquidity: By utilizing project earnings to purchase LT tokens in liquidity pools, Cicada simultaneously boosts token value and strengthens liquidity. Unlike DeFi 1.0 projects, which depend on token incentives for liquidity mining, this model avoids the risk of a death spiral in token price and liquidity depletion during market downturns.
c. Composability: The RT token, as a yield-bearing asset, generates returns without requiring lock-ups. This enables holders to engage in additional opportunities (e.g., lending, options, and profit-sharing protocols), amplifying their overall returns.
Multi-Asset Management Expertise
Unlike single-asset platforms (e.g., Ethena) or those focused on specific categories (e.g., Pendle’s liquid staking derivatives), Cicada manages three distinct asset classes:
a. On-Chain Native Returns: Earnings from decentralized finance (DeFi) protocols.
b. CeFi Strategy Returns: Profits from exchange arbitrage, hedge fund strategies, and similar approaches.
c. Real-World Assets (RWA): Investments in assets such as U.S. Treasuries, credit instruments, and other tangible securities.
This diversified approach ensures stable income streams and mitigates risks associated with single-asset dependency.
Rigorous Asset Selection and Risk Management
Cicada employs stringent due diligence to identify high-quality, sustainable-yield assets. By integrating on-chain audits with off-chain verification, we ensure transparency and eliminate opaque operations, fostering trust and accountability.
Long-Term Competitive Edge
a. Alignment with Industry Trends: As the crypto market anticipates significant growth in real-world asset integration by 2025, Cicada is strategically positioned to capitalize on the RWA and real-return sectors.
b. Professional Expertise: Supported by an experienced asset management team and reputable industry investors, Cicada excels in asset selection, post-investment oversight, and risk control, ensuring sustained performance.
Summary: Why Cicada Delivers Superior Real Returns
Cicada’s returns are driven by tangible asset performance, not speculative market narratives (e.g., Ethena, Pendle). Our comprehensive asset coverage, spanning on-chain, CeFi, and RWA provides diversified and stable income sources. Backed by professional asset management capabilities, Cicada is built for long-term competitiveness, prioritizing sustainable value over short-term speculation.