Fixed
Fixed mode offers users stable, predictable returns through fixed-term, interest-based products. Users can lock their assets for specific periods to earn a guaranteed yield, providing a stable alternative to market-driven products and protection from market volatility. This option is best suited for those who prioritize security and predictable returns and are comfortable with committing their assets for a set duration.
Each asset (BTC, USDT, ETH) has its own Fixed mode option, letting users select fixed returns specific to each asset. Yield is distributed on a daily basis, but the APY is subject to change every 30 days.
You should subscribe under Fixed if you…
Prioritize stability and want predictable, steady returns.
Prefer locking in a guaranteed yield over flexible, market-responsive strategies.
Are comfortable committing assets for a specific term to achieve fixed returns.
Settlement of income and principal:
PNL: Settlement every Friday
Principal: After 30 days of regular payment, according to the redemption T+7 application, it will be settled on the nearest Tuesday and Friday (redemption application within the batch processing cycle)
Redemption of unstake request:
After the customer subscribes, the lock-up period is 30 days, and the unstake request can be initiated at any time;
Early redemption of unstake is not supported within 30 days;
Redemption of Unstake will be settled on the nearest Tuesday or Friday starting from T+7;
If after 30 days, if redemption is initiated on T day, the income ends on T day
A) Principal redemption According to the user's Unstake Request, the user's fund redemption is initiated twice a week:
Unstake applications from 12:00 last Tuesday to 12:00 last Friday (UTC+8) will be uniformly redeemed and settled from 12:00 to 18:00 on Tuesday.
Unstake applications from 12:00 last Friday to 12:00 this Tuesday (UTC+8) will be uniformly redeemed and settled from 12:00 to 18:00 on Friday.
B) Weekly settlement of interest (BB needs to provide the previous weekly income liquidity funds):
Interest settlement operations are performed from 12:00 to 18:00 every Friday (all interests from 12:00 last Friday (not included) to 12:00 this Friday (inclusive)).
Process redemption according to each user's Stake, and calculate the income of each Stake.
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