Why asset managers choose Railnet
Building yield strategies today means stitching together protocol integrations, accounting, policy enforcement, and distribution channels from scratch — and rebuilding it all for every distribution platform you work with. Railnet changes this:- On-chain guardrails — allocation rules, spending limits, and permissions are enforced at the smart contract level — transparent and verifiable by depositors, platforms, and regulators. See the policy engine and allocation guardrails
- Automated NAV — net asset value is computed on-chain, removing manual reconciliation. Allocation Strategies get fully automated NAV tracking; Advanced Strategies can bring their own NAV provider or use Railnet’s reporting service
- Built-in distribution — your strategy is immediately accessible to every platform on the network via Conduits, without bilateral integrations
- Composability — strategies can serve as building blocks inside other strategies, enabling automated fund-of-funds construction where managed allocation and bespoke execution coexist
Two ways to structure your strategy
Pick the structure that matches your investment approach.- Allocation Strategy
- Advanced Strategy
Design a controlled liquidity allocation layer across multiple yield sources.An Allocation Strategy composes multiple yield sources — lending protocols, staking, RWA adapters, and Advanced Strategies — into a single managed portfolio. Operations are intent-based: you express “move capital from A to B” and the system handles routing, accounting, and settlement. No smart protocol specific expertise required, simplified operations.
- Intent-based operations — allocate and rebalance by expressing what you want to achieve, not by crafting transactions on each protocols
- Automated Allocations Strategy — define allocation queue to automaticly allocate user deposit and fill user withdraw on selected yield sources
- Automated NAV — net asset value computed on-chain every in real time with no manual reconciliation
- Fee management — configurable management, performance, deposit, and redeem with automatic accouting
- Revenue-share distribution — split fees among multiple recipients (your treasury, partners, a DAO)
Learn how to build an Allocation Strategy
Compose multiple yield sources into a managed allocation with automated routing and on-chain guardrails.
Where are you starting?
I want to run my own strategy
Start with an Advanced Strategy. Deploy a non-custodial treasury wallet with on-chain policy enforcement and execute on any protocol.
I want to compose multiple yield sources
Build an Allocation Strategy. Combine multiple strategies and yield sources into a managed portfolio with automated routing and real-time accounting.
A platform invited me to manage
The platform deployed the strategy and set the guardrails. Manage allocations within the boundaries they defined.
Guides
Advanced Strategies
Non-custodial custody, on-chain policy engine, and standardized NAV. Full flexibility for standalone strategy execution.
Policy engine
How the Zodiac Roles Modifier enforces contract whitelists, function permissions, and calldata checks.
Operate an Advanced Strategy
Route protocol actions through the policy engine — one ABI, one extra encode step.
Allocation Strategies
Compose multiple yield sources into a managed allocation with automated routing and on-chain guardrails.
Create an Allocation Strategy
Deploy the Allocation Strategy ecosystem — access control, fee manager, and strategy contracts — in a single transaction.
Allocation guardrails
Understand the trust boundary between platforms and asset managers.
Operate an Allocation Strategy
Manage allocations, rebalance across yield sources, and handle day-to-day operations.
Risk management
Evaluate yield sources, manage concentration risk, and handle emergencies.