Regulated access for professional investors (Luxembourg RAIF with AIFM and depositary oversight).

Put idle stablecoins to work in real US Treasury Bills, on chain, fully backed.

Earn government yield in three clicks, with institutional governance and live proof of reserve.

Read FAQ
KYC-gated access
Professional only
Allocation policy
Best net yield under caps
Risk rails
PoR, NAV liveness, pauses
Observability
On-chain audit trail

Allocations and benchmarks include issuers which are approved

  • OpenEden
  • Matrixdock
  • Ondo
  • Franklin
  • WisdomTree
  • Mountain

Live protocol metrics

The router observes net yields and rebalances under issuer caps and risk checks.

Live Yield

Rebalance Status

90-Day Performance

90-Day Cumulative Net APY

Institutional structure

Luxembourg RAIF, external AIFM and depositary which co-sign transactions.

Net yield routing

Router selects the highest net APY within issuer caps, with time-weighted transitions.

Proof and controls

PoR feeds and NAV checks which guard deposits and surface clear status.

Beyond performance

Operational discipline

YieldGuard is built for confident adoption by treasuries. We prioritise governance, verifiability, and clean operations for explainable outcomes and defensible decisions.

Institutional structure

Luxembourg RAIF with AIFM and depositary oversight, asset segregation and a documented policy stack suitable for professional investors.

RAIFAIFM oversightDepositary

Codified risk policy

Issuer allow-lists, concentration caps, and withdrawal routing are encoded as rules, reducing operational error and single-point exposure.

Concentration capsAllow-listsWithdrawal policy

Security & separation

Audited contracts, least-privilege roles, multi-sig approvals and monitored execution paths keep control surfaces minimal and reviewable.

Multi-sigLeast-privilegeAudit trail

Deterministic reporting

Deterministic NAV, benchmark comparisons and exportable ledgers make outcomes traceable from policy to transaction.

Deterministic NAVBenchmarksExports

Custody-friendly by design

ERC-4626 semantics, clean token behaviour and standards-first interfaces make custody, reconciliation and integration straightforward.

ERC-4626Clean semanticsAPI-ready

Resilience & continuity

Multi-provider oracles, health checks and documented failure procedures support continuity during market or vendor incidents.

Oracle redundancyRunbooksHealth checks

Assurances

  • Documented policy stack and board-ready reporting pack
  • Role-separated operations with auditable workflows
  • Consistent interfaces for custodians and controllers

Read the materials

Dive into the policy documents, operational checklists and integration guides that underpin the system.

How it works

Follow the lifecycle that guides each allocation (deposit, allocation, rebalance, withdraw).

Step 1

Deposit

Connect wallet, pass the professional-investor check, mint yTBill at NAV.

Step 2

Allocation

Router allocates toward the best net yield that meets caps and PoR health.

Example Strategy Dashboard

Step 3

Rebalance

Policy monitors spreads; when an edge persists, the vault migrates atomically.

Step 4

Withdraw

Redeem yTBill for USDC.e at NAV, with a small exit fee rebated to remaining holders.

Audited & Proof‑of‑Reserve Secured

YieldGuard integrates best‑in‑class security tooling and independent audits.

OpenZeppelin Audit
CertiK Audit
Quantstamp Audit
Chainlink PoR
Safe (Gnosis) Multisig
Nexus Mutual Cover

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