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KuCoin Wealth Broadens Access to Professionally Managed Strategies with New RWA and Crypto Multi-Strategy Products

PROVIDENCIALES, Turks and Caicos Islands, Sept. 15, 2026 /PRNewswire/ -- KuCoin, a leading global crypto platform built on trust, today announced two new professionally managed products under KuCoin Wealth. All-Weather Multi-asset…

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Sep 15, 2026 at 10:00 AM UTC · Updated 5日前 · 2 分で読める

KuCoin Wealth Broadens Access to Professionally Managed Strategies with New RWA and Crypto Multi-Strategy Products
Image via PR Newswire

Key Signal

100 USDT Minimum subscription amount

Last Updated

5日前

翻訳中…

PROVIDENCIALES, Turks and Caicos Islands, Sept. 15, 2026 /PRNewswire/ -- KuCoin, a leading global crypto platform built on trust, today announced two new professionally managed products under KuCoin Wealth. All-Weather Multi-asset strategy - Principal Protected, KuCoin Wealth's first RWA-focused product with exposure to traditional asset classes, provides access to a diversified range of strategies with an emphasis on capital preservation. Crypto Assets Multi-strategy focuses on digital assets, combining multiple investment approaches designed to pursue returns across changing market conditions.

Professional investment strategies have traditionally involved limited availability, high minimum commitments and complex onboarding requirements. Through KuCoin Wealth, the new offerings make these strategies accessible to a broader base of eligible users, with minimum subscription amounts starting at 100 USDT. The launch advances KuCoin Wealth's efforts to narrow the access gap between professionally managed investment strategies and digital asset investors.

The two products offer distinct approaches:

  • All-Weather Multi-asset strategy - Principal Protected applies an all-weather allocation framework across equity long-short, quantitative and commodity trading adviser strategies, among others. The product follows a conservative approach focused on capital preservation, while dynamically adjusting its allocation to pursue returns across different market environments. The manager of the underlying strategy has historically managed more than US$1 billion in assets across its strategies.

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