KuCoin Wealth
Discover future value and begin your smart investing journey.
Holdings (USDT)
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Total PNL
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Fixed-Term Investment
Grow your assets steadily and earn higher returns.
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Quant Funds
Curated trading strategies to take your crypto portfolio to the next level.
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FAQ
What products does KuCoin Wealth offer?
Two main types are available:

1. Fixed-Term Products: Target stable growth with a fixed duration and defined return structure, ideal for investors seeking consistent returns.

2. Quantitative Fund Products: Employ market-neutral quantitative strategies, including hedging and arbitrage, to reduce market volatility and aim for stable, continuous absolute returns.
What are the unique features of KuCoin Wealth products?
Designed for high-net-worth investors, these products offer:

Robust Strategy System: Quantitative funds employ mature market-neutral strategies that do not rely on market trends, aiming for stable returns across different market conditions.

Enhanced Risk Control: A full-process risk management includes independent custody, sub-account management, real-time monitoring, and multi-dimensional limits to safeguard assets.

Exclusive Products & Better Allocation: Gain access to products and quotas not available to regular users, with more favorable return structures and flexible allocation options.

Professional Management Team: Strategies, risk control, and execution are managed by a team with extensive experience across both traditional finance and crypto asset management.
What is the minimum subscription amount for KuCoin Wealth products?
The minimum subscription amount varies by product. Existing subscribers may enjoy a lower minimum for additional subscriptions. See the subscriptions page for the latest details.
How are fixed-term investment earnings distributed?
Two payout methods are available:

Daily: Earnings are credited to your Funding Account starting the day after subscription.

At Maturity: Earnings are credited to your Funding Account after the product matures.

For details, see Payout Method on the subscription page.
Can fixed-term investments be redeemed early?
Whether early redemption is available will be shown on the product's subscription page.

For eligible products, only full redemption is allowed, and any previously distributed earnings will be deducted.

Redeemable Amount = Subscription Amount - Earnings Distributed.
Is there a lock-up period for quantitative funds?
Yes, quantitative funds have a lock-up period designed to preserve liquidity and help manage investments effectively.
The period starts from the subscription confirmation date, and units can only be redeemed once lock-up is over.
How are the returns for quantitative funds calculated?
Returns are calculated based on NAV:

Unrealized PNL = Units Held × Latest NAV - Cost Basis

If you redeem part of your units, your unrealized PNL will differ from your total PNL.
What sets different quantitative fund products apart?
Different products may vary in:

- The type of strategy used
- Asset type
- Lock-up period, subscription, and redemption rules

It's best to choose a product based on your risk preference and investment goals.
How do I check my earnings?
You can check the earnings of both your current and past wealth management holdings in your Financial Account.
Are there additional fees for quantitative funds?
Quantitative funds charge no subscription or management fees. Performance fees are applied only on profits by the platform and strategy provider, using an individual high-water-mark system:

Each investor's highest NAV is recorded. Performance fees are charged only when the latest NAV exceeds the investor's personal high, generating new actual profits. If the NAV is in drawdown or below the high-water mark, no fees apply.

This prevents repeated charges from others' gains or market swings, keeping the fee structure fair and transparent.
What are the rules for subscribing and redeeming quantitative funds?
Subscription:

Subscribe at any time. Units are confirmed based on the T+n day NAV.

Subscription Units = Subscription Amount ÷ Unit NAV on Confirmation Day

Redemption:

Schedule redemptions at any time. The redemption amount is confirmed and settled on the redemption confirmation day.
Redemptions can be canceled up to one day before confirmation.

Redemption Amount = Redeemed Units × Unit NAV on Confirmation Day