CORPORATIONS

CAF is a private fund operating under the 3(c)(1) exemption, allowing up to 99 accredited investors, including corporations and entities. If your company qualifies as an accredited investor—which many do based on assets or revenue—you can invest through your treasury, reserves, or designated investment vehicle, and you’ll count as one investor under the cap. We verify accreditation, conduct compliance reviews, and maintain a legal rationale for every entity we onboard—so your investment is clean and auditable from day one.

Why CAF Over Other Crypto Funds?

Built-In Security & Compliance

CAF is powered by folio, our proprietary AI-native infrastructure:

  • Real-time NAV tracking

  • Zero-trust security and disaster recovery protocols

  • Integrated compliance monitoring

  • No exposure to offshore custody or exchange risk

REGULATORY ALIGNMENT

We give you clean, FMV-based valuations of your crypto exposure—so you can:

  • Show gains (not just impairments)

  • Report exposure confidently on your books

  • Satisfy internal audit and reporting requirements

Downside Protection, Upside Positioning

CAF isn’t just an index tracker. We actively manage risk, exit points, and rotation into emerging sectors. You’re not just exposed—you’re positioned.

why crypto access fund?

CAF is the most secure, auditable, and performance-driven way for accredited corporations to gain exposure to digital assets—without having to build your own infrastructure. You get real NAV, real custody, and real compliance—without the operational risk.

Your Corporation wants crypto exposure

but you also need – 

clean accounting

CAF aligns with the latest FASB fair value standards, enabling corporations to report digital assets transparently on their balance sheets. With real-time NAV tracking and audit-ready reporting, we eliminate the accounting friction that once made crypto exposure difficult to justify.

risk-managed infrastructure

Our fund architecture is built for security-first capital deployment—featuring zero-trust custody protocols, disaster recovery planning, and automated risk mitigation at the portfolio level. Corporations gain exposure without operational risk or wallet management burdens.

institutional oversight

CAF is governed by institutional discipline at every level—from strategy execution to regulatory compliance. Our Exempt Reporting Adviser (ERA) status, third-party fund admin, and integrated audit workflows ensure your exposure meets the standards of internal review, investment committees, and board governance.

crytpo access fund can help

Fund Terms

Qualified Investor Access

CAF is available exclusively to accredited investors and institutions in accordance with regulatory guidelines.

Redemption Windows

Our fund structure allows for regular redemption opportunities, offering liquidity without the constraints of long-term lockups.

Fee Structure

We apply a transparent management and performance-based fee model aligned with realized gains—ensuring interests remain aligned with our LPs.

Disclosures & Risk Notices

Full risk disclosures, fund documentation, and performance reporting are provided through our secure investor portal, ensuring transparency and regulatory alignment.

Fund Admin & Reporting

NAV calculation, LP communications, and operational reporting are managed through institutional-grade fund administration partners to ensure accuracy, transparency, and compliance.

Capital Deployment

Investor capital is deployed across actively managed digital asset strategies designed for performance, capital efficiency, and dynamic risk management.

Learn how we’re navigating digital assets—get in touch.

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Location
6555 Sanger Road, Suite 100
Orlando, Florida 32827
Phone

501.650.2800

Email

invest@cryptoaccessfund.ai