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Two assets, one table.

Pick any two assets from the catalogue. Yield, custody, redemption terms, oracle, attestation age and what the reserve already holds of each, side by side. Then launch for the one you believe in.

Which asset class is carrying the reserve →

Comparewithside by side
US Treasuries 0–3MGold
ClassTreasuriesGold
IssuerOndoPaxos
Stated yield4.62%none
NAV per unit$112.41$3,412.5
Issuer AUM$720.0M$1.1B
CustodyClear Street · BlackRock BUIDL underlyingBrink's, London
RedemptionSame day, USDCPhysical bar or USD, 430 oz min
OracleIssuer NAV feed, dailyLBMA PM fix via Chainlink
Last attested6h ago30h ago
Risk gradeAA
In the reserve
Yield paid so far
$100 a year, gross$4.62$0.00

Yields are the issuer's stated figures and change daily. Nothing here is a recommendation; the reserve holds whatever launches fund.