> For the complete documentation index, see [llms.txt](https://city-protocol.gitbook.io/docs/llms.txt). Markdown versions of documentation pages are available by appending `.md` to page URLs; this page is available as [Markdown](https://city-protocol.gitbook.io/docs/issuance-and-operation-layer/overview/example-product-templates.md).

# Example Product Templates

<table><thead><tr><th width="150.375">Template</th><th>Description</th><th>Key Configuration Fields</th></tr></thead><tbody><tr><td>ETP-Style RWA Income Product</td><td>Tracks a basket of approved RWA or tokenized yield components under one product wrapper.</td><td>Component universe, inclusion criteria, target weights, NAV source, creation/redemption rules, fee schedule, eligibility policy, disclosure template.</td></tr><tr><td>Multi-Vault Income Product</td><td>Allocates across several verified VaaS vaults under one product wrapper.</td><td>Eligible vault list, target weights, allocation bands, aggregate liquidity terms, NAV cadence, capacity, fee layering policy, redemption window.</td></tr><tr><td>Stable-Yield Blend</td><td>Combines tokenized treasury, private credit, cash-management, or conservative DeFi components into one yield product.</td><td>Component universe, minimum liquidity buffer, collateral or reserve requirements, yield source disclosure, NAV cadence, eligibility policy, risk label.</td></tr><tr><td>Thematic Allocation Product</td><td>Tracks a defined theme through a rules-based basket of approved components.</td><td>Methodology, component inclusion criteria, weighting method, rebalance cadence, concentration limits, product-level NAV source, disclosure template.</td></tr><tr><td>Market-Neutral Strategy Product</td><td>Packages a manager or rules-based strategy with approved venues and drawdown controls.</td><td>Approved assets and venues, leverage limit, drawdown threshold, rebalance triggers, performance fee, high-water mark, reporting cadence.</td></tr><tr><td>Copy-Allocation Product</td><td>Lets participants follow a vetted manager or signal provider inside a controlled product mandate.</td><td>Approved manager, approved venues, trade or rebalance rules, maximum exposure, drawdown limit, fee terms, reporting cadence, redemption period.</td></tr><tr><td>Tenor-Based Structured Yield Product</td><td>Provides exposure for a defined term with scheduled settlement or maturity.</td><td>Tenor, base component, payoff logic, early redemption policy, settlement schedule, NAV method, maturity process, risk disclosure.</td></tr><tr><td>Model Portfolio for Partners</td><td>Lets wallets, exchanges, fintech apps, or wealth products embed predefined allocations through NaaS.</td><td>Partner distribution policy, eligible participant rules, target allocation, rebalance policy, product card metadata, subscription and redemption API flow.</td></tr></tbody></table>

These templates are starting points. Final product availability depends on asset type, jurisdiction, legal structure, liquidity terms, partner approval, and risk disclosure.
