Multi-asset long-term engine
Atlas by YieldCraft
Build a long-term portfolio around the allocation you choose. Atlas combines client-defined portfolio targets with disciplined, rules-based accumulation and protected execution infrastructure.
Configure how you want your Atlas portfolio distributed across the supported Atlas asset universe. Atlas then uses that allocation as the foundation for future portfolio planning as eligible capital becomes available.
Atlas runs independently from Pulse and uses a dedicated Atlas account or portfolio structure so long-term capital remains separated from active trading systems.
Atlas client path
Configure Atlas in a few clear steps
Choose your allocation
Set the target percentage you want assigned to each available Atlas asset.
Connect dedicated Coinbase access
Use the Atlas connection separately from Pulse and other active systems.
Confirm readiness
Review your portfolio configuration and confirm your Atlas setup is ready.
Who Atlas is for
• You want a disciplined way to build a long-term portfolio.
• You want control over how your portfolio is allocated.
• You prefer gradual accumulation over trying to predict every market move.
• You want long-term capital separated from active trading.
Who Atlas is NOT for
• You want constant trades or daily action.
• You expect immediate purchases after funding.
• You expect guaranteed returns.
• You want Atlas to automatically decide when you should sell.
How Atlas Works
1. You choose the portfolio. Set target percentages across the Atlas asset universe. Your saved targets must total exactly 100%.
2. Atlas observes available capital. Atlas uses the dedicated account connection to evaluate available funding for the long-term portfolio.
3. Capital accumulates toward your targets. Small amounts can remain pending until they meet the applicable minimum needed for an eligible purchase.
4. Protected controls remain between planning and execution. Saving an allocation does not itself submit an order.
The goal is disciplined portfolio building, not constant activity.
Your Allocation, Your Portfolio
Atlas gives you direct control over the target percentages used to build your long-term portfolio.
You can review and update your allocation from the Atlas allocation page. A valid portfolio must total exactly 100%.
Multi-Asset Portfolio
Atlas is being built as a multi-asset portfolio system spanning digital assets, public equities, and selected additional investment exposures supported by the Atlas platform.
Asset availability can differ by product readiness, account capability, market session, exchange support, and execution eligibility. An asset appearing in portfolio configuration does not guarantee that an immediate order can be placed.
Atlas evaluates execution eligibility separately from portfolio configuration and fails closed when required conditions are not met.
You Control Selling and Withdrawals
Atlas is designed around accumulation. It does not automatically decide when you should take profit or exit a position.
You remain responsible for your own selling, withdrawals, investment objectives, tax considerations, and account-level decisions.
Dedicated Atlas Account Structure
Atlas uses a dedicated account or portfolio connection for supported execution activity. Keeping Atlas separate from other YieldCraft execution systems protects accounting, credentials, and strategy boundaries.
Do not use the same API credentials or active trading funds for both Atlas and Pulse. Asset execution may use different supported execution venues or infrastructure depending on the asset, account capability, market availability, and execution eligibility.
Existing Atlas Client?
Your allocation is now a core part of Atlas setup. Configure or update your portfolio targets, then review the resulting portfolio preview.
Pricing
$9
per month · flat pricing
Atlas is designed as a dedicated long-term portfolio membership.
Disclaimer: Atlas by YieldCraft is an automation and portfolio discipline system. It does not guarantee returns or eliminate investment risk. Markets can lose value. Asset availability and execution eligibility may vary. Clients remain responsible for funding, withdrawals, selling decisions, investment objectives, and tax considerations.