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KAIO enables regulated RWAs to thrive in permissionless finance while ensuring seamless compliance, interoperability, and liquidity access.
CASH
By Blackrock
The Fund invests in a broad range of high credit quality fixed income securities (such as bonds) and MMIs (i.e. debt securities with short term maturities). It may also invest in deposits with credit institutions (e.g. banks). [For institutional and accredited investors only]
min investment
$100
AUM
$68.47M
Liquidity
Daily
Money Market
SCOPE
By Hamilton Lane
An evergreen fund focused on senior secured private credit investments, targeting downside protection and yield. [For institutional and accredited investors only]
min investment
$10,000
AUM
$11.22M
Liquidity
Monthly
Private Credit
CARRY
By Laser Digital
Tokenized feeder fund providing exposure to a market neutral digital asset strategy that combines delta-hedged futures with a staking yield overlay, aiming to deliver stable, risk-adjusted returns across varying market conditions. [For institutional and accredited investors only]
min investment
$10,000
AUM
$13.01M
Liquidity
Monthly
Crypto Basis
MACRO
By Brevan Howard
The investment objective of MACRO is to generate consistent long-term appreciation through active leveraged trading on a global basis. Exposure is predominantly to global fixed income and FX markets, employing a combination of global macro and relative value trading strategies. [For institutional and accredited investors only]
min investment
$10,000
AUM
$11.44M
Liquidity
Monthly
Hedge Fund
The information contained on this website is not intended to provide, and should not be relied upon for, investment, accounting, legal or tax advice. Any fund products referenced on this website are solely for access by onboarded Accredited Investors and/or Institutional Investors, as defined by the Securities and Futures Act 2001 (as may be amended from time to time) in Singapore, or its equivalent in other jurisdictions. Further information about the funds will only be provided to eligible Accredited Investors and/or Institutional Investors as permitted by any applicable marketing regulations.
All such prospective investors should consult their own professional advisers as to the legal, investment, regulatory, tax, financial and/or other matters relevant to the suitability and consequences of an investment in any fund for such prospective investor. The contents of this website are not to be construed as an offer to sell or solicit an offer to buy any financial instruments in any jurisdiction. This does not constitute any form of regulated financial advice, and your independent financial advisor should be consulted prior to taking any investment decision(s). Please also note that past performances are not indicative of future performance.
Conduit Asset Management Pte. Ltd. (the “Manager”) is the investment manager for the above listed funds. The Manager is incorporated in the Republic of Singapore and licensed by the Monetary Authority of Singapore (“MAS”) who holds a Capital Markets Services License issued by the MAS. MAS has no responsibility for reviewing, verifying, and approving the contents of this website and/or other associated documents. The contents may not be reproduced or referenced, either in part or in full, without prior written permission from the Manager.
NO OFFER OR INVITATION TO SUBSCRIBE FOR SHARES IS BEING MADE TO THE PUBLIC IN THE CAYMAN ISLANDS. “Public” for these purposes shall have the same meaning as ‘public in the Islands’ as defined in the Cayman Islands Mutual Funds Act (Revised). However, shares may be beneficially owned by persons resident, domiciled, established, incorporated or registered pursuant to the laws of the Cayman Islands.
All such prospective investors should consult their own professional advisers as to the legal, investment, regulatory, tax, financial and/or other matters relevant to the suitability and consequences of an investment in any fund for such prospective investor. The contents of this website are not to be construed as an offer to sell or solicit an offer to buy any financial instruments in any jurisdiction. This does not constitute any form of regulated financial advice, and your independent financial advisor should be consulted prior to taking any investment decision(s). Please also note that past performances are not indicative of future performance.
Conduit Asset Management Pte. Ltd. (the “Manager”) is the investment manager for the above listed funds. The Manager is incorporated in the Republic of Singapore and licensed by the Monetary Authority of Singapore (“MAS”) who holds a Capital Markets Services License issued by the MAS. MAS has no responsibility for reviewing, verifying, and approving the contents of this website and/or other associated documents. The contents may not be reproduced or referenced, either in part or in full, without prior written permission from the Manager.
NO OFFER OR INVITATION TO SUBSCRIBE FOR SHARES IS BEING MADE TO THE PUBLIC IN THE CAYMAN ISLANDS. “Public” for these purposes shall have the same meaning as ‘public in the Islands’ as defined in the Cayman Islands Mutual Funds Act (Revised). However, shares may be beneficially owned by persons resident, domiciled, established, incorporated or registered pursuant to the laws of the Cayman Islands.