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Private Credit Fund

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All Currency
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All Risk
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All Eligibility
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TPLUS

EPOCH TreasuryPlus SP Class T Shares
PI Only
Tokenised
T+1
USD
USDC
USDT
Daily
Risk: High
Expected Annualized Yield
8%
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TFCD

Tidefront Global Private Credit Fund 1 Tokenised Class C (Distribution) Shares
PI Only
Tokenised
Monthly Dealing
USD
Risk: Very High
Expected Annualized Yield
12%
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TFCA

Tidefront Global Private Credit Fund 1 Tokenised Class C (Accumulation) Shares
PI Only
Tokenised
Monthly Dealing
USD
Risk: Very High
Expected Annualized Yield
12%
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TFCA

Tidefront Global Private Credit Fund 1 Tokenised Class C (Accumulation) Shares
PI Only
Tokenised
Monthly Dealing
USD
Risk: Very High
Price
100.0000USD
Expected Annualized Yield
12%

Product Overview

TFCA represents ownership of tokenised Class C (Accumulation) Shares of Tidefront Global Private Credit Fund 1, a sub-fund of Tidefront Global Investments OFC, a Hong Kong private open-ended fund company with variable capital and limited liability regulated under the SFO and registered with the SFC. The Fund aims to achieve consistent and sustainable fixed capital appreciation by investing primarily in private credit, focusing on privately originated consumer credit loans across emerging markets in Asia and Latin America, leveraging an AI-based analytical platform for credit assessment, risk control and capital allocation. The Fund provides structured financing to licensed consumer lending entities, secured by consumer loan receivables and related collection accounts with collateral coverage of up to 120% of principal and an automatic top-up mechanism. Class C Shares carry a targeted return of 12% per annum (simple, non-compounding) and are supported by a junior Class B tranche subscribed by affiliates of the Manager. This is a blind pool offering; investors do not have the opportunity to evaluate the underlying investments before they are made, and the targeted return is not guaranteed.
This product is offered to Professional Investor only (as defined under the Securities and Futures Ordinance (Cap. 571) and its subsidiary legislation) and is not intended for distribution to, or use by, any person in any jurisdiction where such distribution or use would be contrary to applicable laws or regulations. It is the responsibility of any person who accesses this information to observe all applicable laws and regulations of their relevant jurisdiction. The information provided is for reference purposes only and does not constitute as an invitation, offer or recommendation to acquire, purchase or subscribe for any investment products or any solicitation of such an offer.

Information about this fund cannot be made available publicly, please contact us for further details.