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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