Our Investment Plans.
Wave Capital blends active research, staking engineering and institutional custody to deliver predictable yield and long-term growth. Each plan is governed by clear investment objectives, documented fee schedules and independent third-party audits. We emphasize liquidity management, slashing mitigation, and diversified validator sets to reduce single‑point risks.
Our operations team continuously monitors network health, validator performance and market liquidity to adapt allocations. We provide transparent monthly statements, API access for account data and an on‑demand compliance team for institutional clients.
Basic
A conservative entry offering focused exposure to high-liquidity PoS assets. Ideal for investors seeking steady yield with lower operational complexity.
- Supported assets: Bitcoin
- Distribution: Monthly rewards, option to auto-compound
- Custody: Cold multi-signature with audited provider
- Dashboard access and monthly statements
- No dedicated advisor (upgrade available)
Premium
A balanced plan combining high-liquidity staking with selective altcoin exposures and more frequent distributions for compounding investors.
- All Basic features plus expanded altcoin coverage and tailored allocation
- Distribution: Weekly rewards with optional auto-compound
- Advanced analytics dashboard with historical performance and slashing reports
- Priority support & quarterly portfolio reviews
- Dedicated portfolio manager (available as add-on)
Institutional
A bespoke service with custom allocations, direct custody options, dedicated account teams and SLAs for institutional-grade counterparties.
- Full Premium features with bespoke strategies and higher-altcoin exposure
- Distribution: Daily or custom cadence; custom reporting
- Dedicated portfolio manager & 24/7 premium support
- Custom custody & operational segregation available upon request
- Enhanced compliance and audit packages
Secure Custody
Institutional-grade cold storage with multi-signature protection and quarterly third-party audits.
Auto-Compounding
Automatic reward reinvestment options that increase effective APY while preserving liquidity preferences.
Portfolio Tracking
Real-time performance monitoring, exportable reports and audit trails for compliance teams.
Investment Risk & Transparency
Cryptocurrency and staking investments carry substantial risks including price volatility, protocol governance events, and potential network slashing. Our teams mitigate these risks with diversification, slashing insurance reserves and continuous validator monitoring, but rewards are not guaranteed. Review plan documents, fees and the Risk Disclosure before investing. For institutional inquiries, request our audit and custody documentation via sales.
Contact Sales or create an account to begin.
Fees & Transparency
We publish clear fee schedules for each plan and provide monthly statements and exportable reports for all clients. Below is a typical fee structure — exact fees vary by plan and assets.
Basic
Management: 0.50% / Performance: 10% of yield
Distribution: Monthly
Premium
Management: 0.35% / Performance: 12% of yield
Distribution: Weekly
Institutional
Custom pricing & reporting — contact sales for an exact quote.
Sample Performance (Illustrative)
Performance below is illustrative, net of fees, based on historical staking returns for core assets. Past performance is not a guarantee of future returns.
| Plan | 1Y (net) | 3Y (net) | Volatility |
|---|---|---|---|
| Basic | 9.2% | 28.5% | Low |
| Premium | 13.6% | 42.1% | Medium |
| Institutional | Custom | Custom | Custom |
Request full audit dossiers, custody agreements and compliance packages for institutional reviews.
Frequently Asked Questions
- How do I withdraw? Withdrawals follow each chain's cooldown rules; see plan documents for expected timelines.
- How often are rewards paid? Basic: monthly; Premium: weekly; Institutional: customizable.
- Are funds insured? We maintain insurance reserves covering select operational risks; contact sales for coverage details.