OnPassivePro
ONPASSIVEPRO | Investor Intelligence & FAQ
Support Intelligence

Operational Mandates

Technical documentation regarding capital deployment, liquidity redemption, and security protocols.

Capital & Liquidity

How is liquidity redemption initiated?

Redemption requests are initiated directly via the Liquidity Command Center in your secure portal. ONPASSIVEPRO maintains deep reserve pools to ensure partners can exit positions at their discretion.

What are the settlement thresholds?

To maintain fund integrity, the minimum redemption threshold is set at 100% of the active investment balance in USD equivalent. This ensures efficient batch processing of institutional-grade withdrawals.

What is the latency for capital withdrawals?

Standard liquidity redemptions are processed through our automated clearing Software instantly. Specialized or large-scale transactions undergo multi-sig verification and are settled within 48 business hours.


Asset Deployment

Can I scale my position with additional capital?

Yes. Partners can deploy additional capital at any time. Each deposit is treated as a separate smart-contract entity to optimize yield tracking and reporting.

How is the Accrued Yield calculated?

Yields are calculated every business day based on the Net Asset Value (NAV) of your deployment. Real-time increments are reflected in your institutional dashboard.

Corporate Liaison

Direct access to our institutional support desk.

Contact Desk
  • Regional HQ Fraunces Tavern, 54 Pearl Street, New York, NY 10004
  • Official Channel support@onpassivepro.com
  • Verification Status Institutional Tier Active