BRAVA MANAGED FUND

The Power of Brava,

Professionally Managed

Gain exposure to stablecoin and tokenized credit markets – without the complexity of managing allocations yourself.

The same institutional-grade infrastructure, risk intelligence, and automation that powers the Brava platform — delivered as a managed fund.
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The Brava Difference

Why Now?

The question isn’t whether stablecoin credit markets will become mainstream.
It’s whether you’ll be positioned before they do. 


Four converging forces are reshaping the investment landscape today:

Stock Market Concentration

The S&P 500’s top 10 stocks now represent over 30% of the index, breaking traditional diversification.

Private Market Illiquidity

Holding periods are stretching to 10 years or more, leaving investors trapped.

Hedge Fund Underperformance

A decade of lagging alpha has left hedge funds struggling to justify fees.

AI Deflation Shock

As AI collapses marginal costs, fixed-rate debt models face structural risks — while on-chain credit adapts instantly with dynamic rates and liquid collateral.

Diversified by Design

The Fund allocates across a broad mix of opportunities in digital credit markets, combining the best of on-chain yield with off-chain real-world credit. Our philosophy is built around diversification, risk intelligence, and disciplined execution.

On-Chain Yield Engines

We allocates across a broad mix of opportunities in digital credit markets, combining the best of on-chain yield with off-chain real-world credit. Our philosophy is built around diversification, risk intelligence, and disciplined execution.

Market Making

The fund taps into carefully selected delta-neutral and market-making strategies operated by institutional-grade on-chain hedge funds. These strategies are designed to capture structural yield opportunities without directional crypto risk.

Off-Chain Real-World Assets (RWA)

Access the fast-growing tokenized trade finance markets, where stablecoins are deployed into short-duration, dollar-backed credit. These pools finance global trade flows while offering attractive, uncorrelated yields.

Risk-Intelligent Allocation

Brava continuously monitors counterparty risk, liquidity conditions, and credit fundamentals. Our mandate automation ensures allocations remain within risk limits, dynamically rebalancing as market conditions chan

Private Credit’s Next Chapter

Private credit is the fastest-growing asset class in global markets, forecast to exceed $3 trillion by 2028. Stablecoin credit has the potential to lead the next $1 trillion wave of growth.

The Brava Managed Fund combines the attractive yields of private credit with the liquidity, transparency, and efficiency of blockchain – delivering stable yield through a mix of on-chain and tokenized credit opportunities.

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Auditors

MHA

Fund Administrators

NAV Fund Administration Group

Custodian

Fireblocks

Share Class Currency

USD

Legal Structure

Cayman Islands SPC

Minimum Investment

$100,00.00

NAV Reporting

Monthly

Subscriptions / Redemptions

Daily

Management Fee

1%

Performance Fee

10% above SOFR 30-day average

ISIN

KYG2605R2313

The Brava Edge

Unlike traditional private credit funds or retail DeFi yield apps, the Brava Managed Fund is powered by a proven risk-intelligent allocation engine. You gain access to institutional tools and strategies — without needing to operate the platform yourself.
It’s the future of credit markets, delivered as a managed solution.

Regulated Structure

The fund is registered and regulated in the Cayman Islands, a globally recognized, investor-friendly jurisdiction.

Independent Oversight

NAV Fund Services serves as fund administrator, ensuring institutional-grade transparency and governance

Institutional Custody

Assets remain under secure custody, powered by SAFE — the infrastructure protecting over $100B in digital assets — and managed operationally through Fireblocks.

Diversified Strategy

Blend of on-chain lending, on-chain hedge fund strategies, and off-chain RWA credit opportunities.

Risk-Intelligent by Design

Proprietary Brava risk scoring ensures allocations are continuously monitored and rebalanced.

Attractive Returns

Target net returns of 6–10%, risk-adjusted and uncorrelated with traditional markets.

Monthly Liquidity

Withdraw without lockups, with custody structures designed for flexibility.

Compliance Ready

Full audit trails, insurance integration, and reporting designed for professional allocators.

Invest with Confidence.

Book a call with our team to learn how the Brava Managed Fund can fit into your portfolio.
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