Tokenized corporate bonds backed by certified real estate and critical raw materials. Custody and settlement via FCA-regulated digital securities exchange and custodian.
Institutional-grade infrastructure enabling secure access to EU-domiciled assets
Securities held in segregated accounts with a Tier-1 FCA-authorised custodian, providing institutional-grade security and regulatory protection.
Settlement via London-based digital securities exchange, providing trusted jurisdiction and efficient transaction processing for global investors.
Your assets held in segregated nominee structure, legally separated from operational assets with full beneficial ownership retained by investors.
Blockchain-native issuance enabling real-time ownership records, efficient settlement, and 24/7 transferability through digital infrastructure.
Private placement documentation for qualified investors. Comprehensive investment memorandum detailing bond terms, risk factors, and issuer information.
Structure designed to accommodate qualified investors from EU, UK, USA, and other jurisdictions through compliant distribution channels.
Streamlined digital onboarding through regulated infrastructure
Confirm your investor status and jurisdiction. Access documentation based on your classification.
Complete KYC/AML verification through our regulated partner platform. Open your custody account.
Execute subscription agreement. Fund via bank transfer in EUR to designated account.
Receive tokenized securities in your custody account with full ownership records.
Diversified exposure to EU real assets with tangible underlying value
Acquisition of commercial and residential properties in the EU holding internationally recognized sustainability certifications.
Strategic investments in exploration, extraction, and processing of materials classified as critical for European industry.
Custody via FCA-authorised custodian
Available to EU Qualified Investors via Investment Memorandum
Client assets held separately
EU, UK, USA investor access
Request access to investment documentation and onboarding. Our team will verify your investor classification and provide appropriate materials within 24 hours.
Qualified investors will be directed to complete KYC/AML and custody account opening through our FCA-regulated partner platform.
Investment Memorandum, final terms, and subscription documentation available to verified professional investors.