For Fund Managers & Strategy Providers

Deploy once, reach everyone

Your strategies generate institutional-grade yield. Harva connects them to hundreds of thousands of users across exchanges, wallets, and fintech platforms — capital you'd never access through traditional fund distribution.

The Opportunity

Distribution is the hard part

You've built strategies that generate real yield. But reaching retail users at scale means integrating with dozens of platforms individually — each with their own tech stack, compliance requirements, and commercial terms. Harva solves this. One integration, every platform.

285K+

Users accessible

Through initial partners

1x

Integration effort

Deploy once to Harva

Net new

AUM channel

Capital you can't reach alone

Why Harva

You generate yield. We distribute it.

Access New Capital

Reach hundreds of thousands of retail and institutional users through exchanges, wallets, and fintech platforms that would never integrate with you directly.

Deploy Once, Scale Everywhere

Deploy your strategies into Harva's smart contracts one time. Every new distribution partner we add increases your AUM without any additional work from your side.

Keep Your Fee Structure

Your existing management and performance fees stay intact. Harva takes a share of the management fee on AUM we deliver — capital you'd never access otherwise.

Institutional Infrastructure

Audited smart contracts, ERC-20 receipt tokens, automated fee splitting, and depositor allowlists. Enterprise-grade infrastructure without the development cost.

Focus on Alpha

You do what you're best at — generating yield. Harva handles user experience, partner integration, compliance coordination, and distribution. No operational overhead.

Additive Distribution

Harva doesn't replace your existing channels. Keep your direct relationships and fund structures. Harva opens doors to distribution channels you can't reach on your own.

What We Look For

Curated, not open

Harva is not an open marketplace. We work exclusively with vetted, registered fund managers who meet our standards for track record, security, and operational excellence. This curation is what makes distribution partners trust us with their users.

Registered Entity

Registered fund manager or investment advisor in a recognized jurisdiction (Cayman, BVI, US, EU, etc.).

Verifiable Track Record

Minimum 12 months of auditable performance data. We verify independently, not just pitch decks.

Institutional Custody

Assets held with qualified custodians (Copper, Fireblocks, Ceffu, etc.). No self-custody.

Risk Management Framework

Documented risk parameters, drawdown limits, and automated circuit breakers. We monitor continuously.

Let's put your strategies to work

If you're a registered fund manager with yield strategies that belong in more hands, we should talk.