QMC RESOURCES

Transparency

Independent verification at every layer of the investment process.

VERIFIED FINANCIAL REPORTING

Every vault provides standardized reporting designed to give investors complete visibility into performance and operations.

Rather than relying solely on manager-reported figures, QMC Finance integrates independent verification and third-party infrastructure to provide trustworthy financial reporting and operational transparency.

INDEPENDENT FINANCIAL VERIFICATION

Vault financial data is independently verified through Renesis’ Data Verification Network (DVN), providing continuous cryptographic verification of reported assets and financial information without exposing proprietary investment strategies.

VAULT ADMINISTRATION

Where applicable, independent fund administrators calculate and publish each vault’s Net Asset Value (NAV), providing an additional layer of operational oversight separate from the investment manager.

PERFORMANCE REPORTING

Each vault publishes standardized performance information, including historical returns, NAV, assets under management, fee disclosures, and other strategy-specific metrics.

Investors can evaluate performance using consistent reporting standards across all vaults available on the platform.

SMART CONTRACT TRANSPARENCY

Every vault publishes its smart contract addresses, deployment history, documentation, and relevant security information, allowing investors to independently verify the infrastructure supporting their investment.

AUDITS & SECURITY

Where applicable, vault smart contracts undergo independent security reviews before deployment. Audit reports, security documentation, and operational disclosures are published through each vault’s Transparency page whenever available.

CONTINUOUS DISCLOSURE

Every vault maintains a dedicated Transparency page that serves as the primary source of operational, financial, and security information.

Depending on the vault, this may include:

  • Performance history
  • NAV updates
  • Assets under management
  • Fee schedules
  • Smart contract information
  • Security audits
  • Financial verification
  • Custody arrangements
  • Risk disclosures

This creates a single, standardized location where investors can understand how each vault operates before and after allocating capital.