Custodial vault infrastructure for tokenized real-world assets
The operating layer for tokenized asset strategies.
No custodian in the structure — assets sit in contracts controlled by the vault operator, who also sets and executes the strategy.
Compliance is optional — vaults are permissionless by default, with KYC gating and sanctions screening added on rather than enforced by the vault.
No fund-grade reporting — share price and APY, but no investor register, NAV pack or statements your administrator and auditor can work from.
Risk is shared — pooled markets and manual incident response mean one exploit or bad asset can spread across vaults.
Not built for tokenized securities — issuer onboarding, transfer restrictions and non-instant settlement end up handled off-platform.
Custodial vault infrastructure for portfolios of tokenized real-world assets. You configure the strategy, compliance and fees — the smart contracts enforce the rest. A custodian holds the tokenized securities and executes every investment transaction. Automated rebalancing, orderly redemptions and institutional access controls are built in.
Select assets, set allocations and a liquidity reserve, define fees, access and pause policies.
Vault deployed onchain and connected to your custodian.
Allowlisted investors subscribe (deposit) in stablecoins and receive shares.
Your custodian runs automated rebalancing and settles with issuers through standardized flows.
Share accounting and NAV are calculated onchain.
We deliver the data, in whatever format you use, to
Sets strategy, fees, investor access and pause policy. Configures every vault permission.
KYB/KYC-verified before they subscribe.
Executes every investment transaction.
Licenses the rebalancing software, keeps the onchain share register and delivers reporting.
Your existing providers, working from the same onchain records.
| Asset | Platform | Target | Current | Drift |
|---|---|---|---|---|
| JTRSYJanus Henderson · US Treasuries | Centrifuge | 45.0% | 45.8% | +0.8 pp |
| JAAAJanus Henderson · AAA CLOs | Centrifuge | 25.0% | 24.6% | −0.4 pp |
| WisdomTreeDigital fund | WisdomTree | 20.0% | 19.9% | −0.1 pp |
| ReserveUSDC liquidity | Vault | 10.0% | 9.7% | −0.3 pp |
Drift band ±2 pp · next automated rebalance in 6 h, executed by your custodian

New tokenization platforms integrate in weeks through one standardized process — no bespoke custody setup or compliance wiring per issuer.
NAV and share accounting are calculated onchain, using oracle price feeds such as Chainlink.
Nashpoint keeps the onchain share register, recording every subscription and redemption.
NAV, investor register, transactions, fee accruals, statements and performance, delivered however you need them.
Works with your existing fund administrator and auditor.
Only KYB/KYC-verified investors can subscribe, enforced onchain.
Addresses on OFAC or any other sanctions list are blocked at the contract level.
| NAV per share | 1.0214 |
| Shares outstanding | 24,318,550.00 |
| Net assets (USDC) | 24,838,966.97 |
| Subscriptions in period | 1,250,000.00 |
| Redemptions in period | (310,000.00) |
| Management fee accrued | (2,041.10) |
We have looked at other vault providers and you are the only thing that works for us.
“You are thinking about and solving a lot of big problems for us.”
Map your custody, compliance, and fund-admin stack.
Vault deployed with your parameters and your custodian connected.
Accept subscriptions, with live monitoring from day one.