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Reprise Opportunity Investment Guide

A comprehensive guide to investing in the Reprise Opportunity, including profit distribution, payout strategies, supported assets, and treasury management.


Overview

The Reprise Opportunity is a forex trading investment opportunity offered through OpportunityDAO. Investments are managed through cycles where capital is deployed to trade forex markets, with profits distributed to investors based on performance and role-based sharing. Capital remains under DAO custody with trades carried out through copy trading of our veteran human traders.


Profit Distribution

Tiered Distribution Model

Profits are distributed using a tiered system based on the profit percentage achieved during each cycle:

Profit RangeDistribution ModelInvestor Share
< 3%Investor Only100% to investors
3-6%Scaled DistributionGradual transition
≥ 6%Normal DistributionRole-based shares

Investor Only Rule (< 3% profit):

  • When cycle profit is less than 3%, all profit goes to investors
  • No treasury, trader, or affiliate shares are taken
  • Protects investors during lower-performing cycles

Scaled Distribution (3-6% profit):

  • Gradual transition from 100% investor share to normal distribution
  • Maintains proportional relationships between roles ensuring traders are motivated and well compensated
  • Smooth transition as profit percentage increases

Normal Distribution (≥ 6% profit):

  • Standard role-based profit sharing applies
  • Treasury, traders, and affiliates receive their shares
  • Investors receive remaining balance

Role-Based Shares

When normal distribution applies (≥6% profit), shares are allocated by role:

RoleSharePurpose
Investors50%Primary recipients of profits
Traders30%Compensation for executing trades
Treasury10%Platform operation and development
Affiliates10%Commission for referred investors

Example Distribution:

  • Cycle profit: $10,000 (15% return)
  • Investors receive: $5,000 (50%)
  • Traders receive: $3,000 (30%)
  • Treasury receives: $1,000 (10%)
  • Affiliates receive: $1,000 (10%)

These percentages apply at launch and may be adjusted based on platform performance and governance decisions.


Payout Strategies

Investors can choose how to handle their profits after each cycle closes:

Available Strategies

1. Manual Withdrawal

  • Profits remain in your Profit Available balance
  • You decide when to redeploy or withdraw
  • Maximum flexibility and control
  • Set via dashboard payout strategy settings

2. Auto-Compound

  • Profits automatically roll over to Capital Available
  • Immediately available for next cycle participation
  • Maximises compound growth potential
  • Default strategy for most members

3. Conditional Compounding

  • Compound profits only if conditions are met
  • Example: Compound if profit ≥ 5%, otherwise withdraw
  • Advanced strategies for experienced investors
  • Contact support to configure custom conditions

Per-Cycle Strategy Overrides

You can set different strategies for individual cycles:

  • Override your default strategy for specific cycles
  • Useful for testing different approaches
  • Set via admin panel (contact support)
  • Only available for unsettled cycles

Supported Networks & Assets

Deposit Networks

At Launch:

Investors can deposit using Ethereum network only:

NetworkSupported AssetsNetwork Type
EthereumUSDT, USDCEVM

Stablecoin Deposits

USDT (Tether USD):

  • Accepted on Ethereum network
  • 1:1 USD value for investment calculations
  • Most common deposit method
  • Contract: 0xdac17f958d2ee523a2206206994597c13d831ec7

USDC (USD Coin):

  • Accepted on Ethereum network
  • 1:1 USD value for investment calculations
  • Alternative stablecoin option
  • Contract: 0xa0b86991c6218b36c1d19d4a2e9eb0ce3606eb48

Platform Network Support

Additional networks are available for other opportunities:

  • Cardano - ADA, USDM, USDA
  • BSC (Binance Smart Chain) - USDT, USDC
  • Polygon - USDT, USDC

All deposits are converted to USD for investment tracking and profit calculation.


Underlying Trading Assets

Forex Markets

The Reprise Opportunity trades foreign exchange (forex), indices or commodities markets:

Trading Strategy:

  • Leveraged Arbitrage opportunities
  • Technical analysis-driven entries
  • Position sizing based on account balance
  • Multiple timeframe analysis

Broker Accounts:

  • Trades executed via MT5 (MetaTrader 5) platforms
  • Multiple broker accounts for diversification
  • Real-time balance and profit tracking
  • Transparent reporting via Grafana dashboards

Trading Costs

Swap (Overnight Interest):

  • Applied to positions held overnight
  • Can be positive (credit) or negative (charge)
  • Varies by currency pair and position direction
  • Tracked separately in profit calculations

Commission:

  • Broker fees for executing trades
  • Typically $7 per standard lot round-turn
  • Deducted from cycle profit before distribution

Spread:

  • Bid-ask difference (implicit cost)
  • Varies by broker and market conditions
  • Tighter spreads on major pairs

Treasury Management

Treasury Purpose

The platform treasury serves three critical functions:

1. Platform Expenses

  • Server hosting and infrastructure costs
  • Blockchain transaction fees (gas)
  • API services (Blockfrost, CoinGecko, RPC providers)
  • SSL certificates and domain renewals
  • Development tools and software licenses

2. Running Costs

  • MT5 broker account maintenance fees
  • Grafana and monitoring services
  • Database backups and storage
  • GitLab CI/CD runner costs
  • Email service (SMTP) fees

3. War Fund (Bad Investment Buffer)

  • Emergency reserve for losses exceeding investor capital
  • Protects investors from negative balance scenarios
  • Covers rare events like:
    • Flash crashes with slippage beyond stop-loss
    • Broker insolvency or technical failures
    • Gap risk on weekend news events
  • Treasury absorbs losses before impacting investor capital

Treasury Funding

Founder Contributions:

  • Initial treasury seeded by founders
  • Ongoing capital injections as needed
  • Separate from investor deposits

Platform Fees:

  • Small percentage of cycle profits
  • Only collected when profit ≥ 3%
  • Transparent fee structure

Reserve Allocation:

  • Portion of founder shares directed to treasury
  • Builds over time with profitable cycles
  • Provides long-term sustainability

Transparency

All treasury movements are tracked via:

  • Double-entry accounting system
  • Audit logs for all transactions
  • Member proof of reserves page
  • Grafana dashboards for real-time balances

Investment Process

1. Deposit

Deposit funds to your DAO custodial account:

  • Navigate to DashboardDeposit
  • Select opportunity (Reprise)
  • Choose blockchain network
  • Send funds to provided wallet address or use Wallet Connect
  • Wait for blockchain confirmation
  • Balance updates automatically

2. Cycle Participation

Join open cycles:

  • View available cycles on Dashboard
  • Review cycle details (start date, capital target)
  • Click Participate to join
  • Select amount from Capital Available
  • Funds move to Capital Deployed

3. Active Trading

During active cycle:

  • Monitor live profit via Live Potential Profit page
  • View Grafana dashboards for broker balances
  • Check mark-to-market valuations
  • Track unrealised P&L in real-time

4. Cycle Closure

When cycle ends:

  • Admin closes cycle and calculates final profit
  • Profit distributed according to tier rules
  • Principal returns to Capital Available
  • Profits go to Profit Available (or auto-compound)

5. Manage Profits

After distribution:

  • Redeploy: Move profits to capital for next cycle
  • Withdraw: Request withdrawal to blockchain address
  • Repeat process for subsequent cycles

Risk Disclosure

Trading Risk:

  • Forex trading involves substantial risk of loss
  • Past performance does not guarantee future results
  • You may lose some or all of your invested capital

Blockchain Risk:

  • Deposits are non-reversible once confirmed
  • User responsible for correct wallet addresses
  • Network fees (gas) apply to all transactions

Platform Risk:

  • Platform is in active development
  • Centralised custody of deposited funds
  • Use only funds you can afford to lose

Regulatory Risk:

  • Platform operates in a regulatory grey area
  • Future regulations may impact operations
  • Users responsible for their own tax compliance

Support & Resources

Documentation:

Contact:


This guide is for informational purposes only and does not constitute financial advice. Always do your own research and consult with a financial advisor before investing.