FPROTOCOLOPEN CRYPTO ALLOCATION INFRA
F-STAR FUND · TO BE ESTABLISHED

F-Star Fund

F-Star Fund

An on-chain fund run on Kelly discipline — currently to be established, open for small real test subscriptions (100–1000 USD per account, Arbitrum One mainnet (gray-scale)). Below you can connect your wallet, get test USDC and subscribe directly; the bottom of the page shows live on-chain state.

Current statusTo be established · small test live
TEST TERMS

Test terms

This phase is a mainnet gray-scale validation only, using test tokens and no real funds; it is not an offer, investment advice, or a return promise.

To be established

The fund is not yet formally established; this phase is a real test of the on-chain mechanism.

100–1000 USD / account

Each account subscribes 100 to 1000 mainnet gray-scale USDC per transaction.

Instant shares

On subscribe, ShareToken shares are minted to your wallet immediately, priced by NAV (first subscriber 1:1).

Mainnet gray-scale USDC

Click 'Get test USDC' for free test tokens; not a real asset.

TEST SUBSCRIPTION

Test subscription

  1. 1 Connect wallet
  2. 2 Join whitelist
  3. 3 Get test USDC
  4. 4 Confirm subscription
MY HOLDINGS

My holdings

No holdings yet — subscribe once to see them here.

The F-Star Fund is currently to be established; this page is a mechanism test on the Arbitrum One mainnet (gray-scale) using test tokens only. It is not an offer, investment advice, or a return promise, and mainnet gray-scale assets have no real value.

LIVE VALIDATION · TESTNET STATE

The fund's live on-chain state

Not how to win. How not to go bust.

Every figure below is read live from the F-Star Fund contracts on Arbitrum One — no backend, no database, no cosmetic caching. This is the fund's verifiable real state right now: NAV, AUM, fund split, reserve, settlement and governance.

NAV / share
1.0000
Epoch
#1
Block
487,598,956
Read at
Jul 25, 2026, 2:51 PM
AUM
3
USDC
Idle
3
USDC
Deployed
0
USDC
Reserve
0.04
USDC · 1.3% of AUM

Fund split

Idle 98.7%Deployed 0.0%Reserve 1.3%

NAV trend

Fewer than 2 NAV epochs; a trend appears as the dry-run progresses.

Latest dividend

Epoch
#1
Total dividend
0 USDC
Merkle root

Mounted policy

Active policy
ThreePoolPolicy
Policy ID
0x7a678974…c7a9a6b5
Fixed annual dividend
6%
Profit-day float dividend
30%
Profit retained to NAV
60%
Profit injected to reserve
10%
Reserve cap
25%
Reserve floor
5%

Strategy allocation

STRATEGYTARGET WEIGHTCAPSTATUS

Governance & safety

Multisig threshold
0 / 0
NAV oracle threshold
1 sigs
NAV max deviation
±20%
Circuit breaker
● Running

Contract manifest (verifiable)

Every address is independently verifiable on Arbiscan. Source is open on GitHub.

STRATEGYROLEADDRESS
FundVaultCustody0x3F33…5c5E
ShareTokenShare token0xB1FF…B2E9
NAVOracleNAV oracle0x5f70…C9F1
AllocationManagerAllocation0xE58B…B2AD
DailyTickDaily settlement0x23aD…aFA6
DividendManagerDividend0xb5F8…4F45
ReserveFundReserve0x9b38…c1EF
SubscriptionManagerSubscription0xAB8D…3a4e
RedemptionManagerRedemption0x8536…5C60
KYCRegistryKYC0xb079…272D
EmergencyControllerCircuit breaker0x7E4A…D818
ThreePoolPolicyActive policy0xfA59…CF20
USDCBase asset (USDC)0xaf88…5831

This page shows live Arbitrum One mainnet data (chainId 42161, gray-scale phase) for protocol demonstration only. Not investment advice; figures change as the dry-run progresses. · chainId 42161