Fund Reconstitution Methods

Mechanism

Fund reconstitution methods represent the algorithmic procedures employed to recalibrate the underlying asset composition of a crypto-native financial instrument. These processes ensure that the internal holdings of a derivative product remain aligned with the predefined index or portfolio target despite significant market drift or collateral volatility. By systematically adjusting the ratio of tokens, these methods maintain the integrity of the tracking error and prevent unintended divergence from the intended financial benchmark.