Eligible assets are transferred to a dedicated pool under an asset purchase agreement. The Pool Seller can invite investors and advisors to conduct due diligence on the pool.
Pool sale can be negotiated privately or via an auction, all on the platform. Legal agreement are drafted and executed digitally based on standard templates. Settlement is near instant with fiat backed tokens or bank account.
Financial assets such as trade receivables (invoices) and SME loans are turned into unique tokens on the blockchain. Asset performance data such as repayment and an obligor's finance position is dynamically updated to our platform via APIs.
Asset Tokenisation and Performance Tracking
Notes are then structured to fit portfolio risk and cash flow profile. Individual or institutional investors participate in the token sale via a Dutch auction (or simple subscription) where a market-clearing yield level is attained.
Settlement is automated based on an agreed cash flow waterfall. Issuers can set performance triggers based on smart legal clauses.
Note Issuance and Life Cycle Management
Select a standalone product or flexibly combine with others to meet your requirements