Managing and Withdrawing Funds

Both fund managers and investors have access to robust management tools to monitor fund performance, optimize investment strategies, and ensure efficient withdrawals.

For Fund Managers:

  • Monitor fund activity using advanced analytics tools.

  • Optimize portfolio allocations and execute trades.

  • Adjust fund parameters (within pre-defined limits) as needed.

For Investors:

  • Request withdrawals according to the fund’s withdrawal model (instant, scheduled, or batch processing).

  • Track fund NAV (Net Asset Value) and performance over time.

  • Exit investments with minimal friction using OpenFund’s liquidity-optimized withdrawal system.

With this streamlined process, OpenFund ensures that both fund managers and investors can operate efficiently and securely within the ecosystem.

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