


Institutional Structural Framework
A structured investment setup combining product design and oversight by RAISER CAPITAL, licensed portfolio management, and regulated European banking infrastructure.
RAISER CAPITAL operates as the designer and sponsor of a structured investment framework that enables professional and institutional investors to access digital asset strategies through an Actively Managed Certificate (AMC).
The framework combines a certificate-based investment vehicle, licensed portfolio management under MiFID II, and regulated European banking and custody infrastructure.

Strategy Overview
A structured, rules-based approach implemented within the Actively Managed Certificate framework.
The strategy operates within a defined framework that governs exposure, allocation, execution discipline, and liquidity considerations.
It is designed to function consistently across varying market conditions while respecting predefined constraints.
Exposure Criteria
Defined conditions that determine when and how exposure may be established or adjusted.
Allocation Logic
Predefined allocation ranges designed to manage concentration and maintain balance at the portfolio level.
Execution Discipline
Structured execution procedures focused on consistency and adherence to established parameters.
Liquidity Focus
Instrument selection and exposure sizing informed by liquidity considerations and operational suitability.



Documentation & Institutional Access
Access to information, documentation, and onboarding is reserved for professional and institutional counterparties.
RAISER CAPITAL engages with investors through a structured information and documentation process.
Public materials are intentionally limited. Detailed documentation is made available upon request to qualified professional and institutional investors.
Documentation
Access Process
The following materials are available as part of the institutional review process:
Strategy Overview (high-level)
Actively Managed Certificate (AMC) structural note
Risk disclosure and governance summary
Operational and reporting framework
Investor onboarding overview
Engagement follows a structured and professional process:
Initial institutional inquiry
Alignment on investor profile and jurisdiction
Provision of relevant documentation
Coordination with banking and onboarding counterparts
This section is provided for informational purposes only and does not constitute an offer, solicitation, or investment advice.
Any engagement is subject to applicable regulations and eligibility requirements.

Team & Operating Responsibilities
Strategy & Oversight
Responsible for strategy definition and ongoing framework oversight
Ensures alignment with governance and risk parameters
Governance & Compliance Liaison
Responsible for coordination with legal, banking, and issuing counterparts
Oversees documentation, onboarding flow, and regulatory alignment
Execution & Operations
Responsible for operational coordination and execution processes
Ensures adherence to predefined procedures and constraints
External Counterparties
Banking, custody, and issuance functions are performed by independent third-party counterparts
These functions are structurally separated from strategy definition
Roles and responsibilities are defined to support accountability, continuity, and institutional reliability.

Institutional Inquiry
RAISER CAPITAL engages through a structured and selective information process.
Institutional inquiries are reviewed to ensure regulatory, jurisdictional, and profile alignment.
This form is intended for professional and institutional counterparties only.
Submission does not constitute an offer, solicitation, or commitment of any kind.
Any engagement is subject to eligibility, regulatory considerations, and internal review.
