
Investment Trilemma: Asset management is the art of finding the balance or compromise between high returns, and flexible liquidity at a minimal risk. At Mash Finance we don’t believe in compromises.
Our diversified portfolio of on-chain lending, liquidity farming and basis trading positions maximizes portfolio returns without long lock-up periods or extra directional risks. The result is a battle-tested strategy with 3+ years of track record that is consistently delivering above-benchmark returns with immediate access to capital whenever needed.
USDC EURC BTC ETH SOL
Initial lock-up then a short redemption queue to optimize asset flows
Get in touch for a personalized quote that depends on asset type, investment horizon and other factors
Client dashboard for position monitoring, monthly investor reports and live support
Our strategies have a solid track record without a single down month, consistently beating asset inflation levels and benchmark rates
Total Assets Managed
DeFi positions across various chains and platforms
Supported Assets
Diversified exposure to leading digital assets
USDC
EURC
BTC
ETH
SOL
Asset returns
USDC
1d APR
7d APR
30d APR
EURC
1d APR
7d APR
30d APR
BTC
1d APR
7d APR
30d APR
AUM data is denominated in USDC.
Balanced asset mix and flexible liquidity curve geared towards maximum returns while retaining flexibility
Learn more about our expertise, tools, and extensive network to grow and protect digital assets.
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