TriArch introduces an innovative “Risk-Return 3D Coordinate Model”, enabling precise stratification across three orthogonal dimensions:
Yield Volatility Axis:Senior Tier (<5%) → Balanced Tier (5%–20%) → High-Growth Tier (>20%)
Capital Lock-Up Period Axis:Senior Tier (Redeemable at any time) → Balanced Tier (7–30 days) → High-Growth Tier (30–90 days)
Asset Class Axis:RWA (e.g., government bonds, ABS) → Mixed Assets (DeFi protocols + RWA) → Crypto-native Assets (DeFi derivatives, NFTfi)
Last updated 8 months ago