A FlexETP Fund securitizes a portfolio of publicly traded assets. The portfolio is actively managed by an appointed Portfolio Manager, and participations are globally distributed through a Euroclearable listed security. Investors access these securities from their existing brokerage accounts. No additional Know Your Client (KYC) or Anti Money Laundering (AML) is required, assets stay within the existing custodial accounts, and any redemptions or distributions are delivered directly to the investors. Each issuance is designed according to customizable terms and conditions. The FlexETP program provides price (NAV) calculation and distribution, an International Securities Identification Number (ISIN), Bloomberg listing, trustee and audit services.