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Private Vault Accounts

Discretionary, client-specific vaults designed for full capital isolation, custom strategy logic, and non-custodial execution.

Account Structure

Each Private Vault Account is deployed through an isolated smart contract vault and configured to match the client’s capital profile, risk parameters, and reporting preferences. Execution logic, asset scope, and governance thresholds are defined individually at setup.

Account Configuration

Investment Strategy

Tailor-made: structured by risk profile, asset scope, and drawdown tolerance

Deployment Structure

Independent smart contract vault per client

Execution Controls

Strategy-level limits (e.g., slippage, LTV, pacing)

Minimum Commitment

$100,000 USD

Eligible Assets

Major DeFi-native tokens and primitives (e.g. ETH, LSTs, stablecoins) across supported protocols

Accepted Currencies

Fiat, Crypto

Management Fees

2%

Performance Fees

20%

Performance Profile

Historical strategy-level returns: 12–28% annually (net), depending on risk tolerance.

Why Choose A Private Vault Account

Private Vault Accounts are often selected by high-net-worth individuals, family offices, and fund managers seeking precise control over their DeFi allocation.

Each account operates independently, with its own vault, strategy structure, and execution logic, designed around the client’s capital profile, risk tolerance, and operational preferences. AXM Capital works directly with clients to define parameters, governance thresholds, and deployment cadence prior to onboarding. Fee structures are transparent, with performance-based terms and no lock-ups or pooled exposure.

How Private Vault Accounts Operate

Private Vault Accounts are structured for allocators seeking isolated capital deployment with embedded risk parameters, real-time visibility, and non-custodial governance.

Strategy Definition

Each account begins with a strategy design process tailored to the client’s objectives. We align on capital goals, asset preferences, risk thresholds, and define liquidity expectations, cadence, and rebalancing logic. This forms the basis for vault configuration and mandate scope, ensuring the structure reflects the client’s operating parameters from the outset.

Vault Deployment & Custody

Once the mandate is approved, a dedicated smart contract vault is deployed. Each account operates under a multi-signature custody model where AXM Capital holds one key to initiate transactions, and the client retains two. This ensures that all executions require joint authorization, preserving full control and custody on the client’s side. Funds are not pooled or co-mingled.

Embedded Execution Logic

Vaults are configured with strategy-level parameters embedded directly into the contract. These include constraints on exposure, slippage tolerance, execution pacing, and automated circuit-breakers. These controls govern real-time execution and are designed to enforce the client’s risk profile without requiring day-to-day intervention.

Monitoring & Reporting

All deployments are monitored in real time, with performance, exposure, and risk signals tracked continuously. Clients receive clear, structured reporting at agreed intervals, covering portfolio activity, capital state, and strategy adherence. For those preferring full transparency, all vaults remain verifiable on-chain.

Capital Access & Updates

Private Vault Accounts offer full liquidity without lockups. Clients may withdraw or scale capital in line with market conditions and vault configuration. Strategy changes or redeployments are implemented through the same governance structure agreed upon at launch, maintaining consistency and alignment throughout the mandate lifecycle.

Frequently Asked Questions

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Explore Allocation Options

We partner with HNWIs, family offices, and funds seeking structured exposure to decentralised yield with full liquidity, risk-managed execution, and no custodial compromise.

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