APX Economics Framework

APX Tokenomics

This page defines how APX is issued, used, rewarded, and redeemed before public liquidity listing. It is aligned with the live APXFund platform logic and Option B redemption model.

Total Supply Cap

5,000,000,000 APX

Internal Buy Rate

$0.0008 / APX

Internal Redemption Rate

$0.00072 / APX

Reward Emission Formula

8% of cycle profit

Core Utility

  • Users buy APX from dashboard USD balance.
  • Users earn APX automatically when cycles mature.
  • Users submit APX redemptions through internal queue.
  • Admin processes approvals and weekly settlements to USD balance.

Pre-Listing Rules

  • APX accounting is active inside platform wallet.
  • Redemption follows Option B (queue + scheduled settlement).
  • External exchange price discovery is not guaranteed pre-listing.
  • Contract: 0x8d6032443cb7b23c134094c8921f1f37824ea3a2

Economic Flows

1. Buy Flow

User spends USD balance and receives APX at the internal buy rate.

2. Reward Flow

At maturity, APX reward is minted using reward share formula tied to realized cycle profit.

3. Redemption Flow

User submits APX request. Admin approves and settles in USD based on redemption rate.

Governance Notes

Rate parameters and settlement cadence may be adjusted by APXFund operations based on treasury capacity, market conditions, and platform risk controls. Material changes should be disclosed publicly in advance.