· Testnet v0.93
EN
...Founder Index
USIN
US + International Teams
NAV / Share
as of Apr 5, 2026
$0.9754
1 Day NAV Change
as of Apr 5, 2026
—
Total Value Locked
as of Apr 5, 2026
—
Holdings
as of Apr 5, 2026
5
NAV / Share
as of Apr 5, 2026
$0.9754
1 Day NAV Change
as of Apr 5, 2026
—
Total Value Locked
as of Apr 5, 2026
—
Holdings
as of Apr 5, 2026
5
Why This Index?
- American founders paired with international co-founders. US market access combined with global technical talent — the partnership thesis where distribution meets engineering.
- Equal weighting across 12 tokens. The basket captures the specific synergy of American regulatory familiarity and fundraising access combined with international technical depth.
- Neither purely American nor purely international teams produce this combination. The partnership structure creates advantages that homogeneous teams on either side cannot replicate.
Investment Objective
Equally weights 12 tokens from founding teams combining American and international founders, rebalanced monthly. Captures the partnership premium where US market access and regulatory familiarity combine with global technical depth.
Portfolio Composition
XRP20.0%
ETH20.0%
BTC20.0%
BNB20.0%
USDC20.0%
Concentration Metrics
TOP 5 WEIGHT
100.0%
TOP 10 WEIGHT
100.0%
HHI CONCENTRATION
2000
Moderate
Founder Intelligence
Based on 8 founders across 4 portfolio companies
Age Distribution
Gender Split
Top Nationalities
4
1
1
1
Top Universities
San Francisco State University
1
1
1
1
University of Houston
1
1
1
Chinese Academy of Sciences
1
Performance
Loading NAV data...
Holdings
as of Apr 5, 2026
| # | Name | Weight▼ | Price | 24h |
|---|---|---|---|---|
| 1 | XRP | 20.00% | $0.0000 | — |
| 2 | ETH | 20.00% | $0.0000 | — |
| 3 | BTC | 20.00% | $0.0000 | — |
| 4 | BNB | 20.00% | $0.0000 | — |
| 5 | USDC | 20.00% | $0.0000 | — |
Fund Details
NAV / Share
as of Apr 5, 2026
$0.9754
Chain
Index L3 (Orbit)
Settlement Address
0x963250...1F93b2
Rebalance Method
Equal Weight
Fund Inception
—
Asset Class
Crypto Index
ITP ID
0x000000...000020
Number of Holdings
5
Portfolio Characteristics
Top 5 Concentration100.0%
Top 10 Concentration100.0%
HHI Index2000 (Moderate)
Average Market Cap$0
Fees
as of current prospectus
Management Fee0.00%
+Acquired Fund Fees and Expenses0.00%
+Other Expenses0.00%
=Expense Ratio0.00%
The fee amounts shown above are as of the current prospectus. Network gas costs apply to all on-chain transactions and are not included in the expense ratio.
NAV is calculated from live price feeds. Data updates every 60 seconds. Past performance is not indicative of future results.