Custodial vault infrastructure for tokenized real-world assets

Nashpoint

The operating layer for tokenized asset strategies.

The problem

Onchain vault infrastructure was built for DeFi, not for regulated asset managers.

  • Custody

    No custodian in the structure — assets sit in contracts controlled by the vault operator, who also sets and executes the strategy.

  • Compliance

    Compliance is optional — vaults are permissionless by default, with KYC gating and sanctions screening added on rather than enforced by the vault.

  • Reporting

    No fund-grade reporting — share price and APY, but no investor register, NAV pack or statements your administrator and auditor can work from.

  • Risk

    Risk is shared — pooled markets and manual incident response mean one exploit or bad asset can spread across vaults.

  • Tokenized securities

    Not built for tokenized securities — issuer onboarding, transfer restrictions and non-instant settlement end up handled off-platform.

Nashpoint · 02
The solution

Nashpoint closes each gap.

Existing vault infrastructure
Nashpoint
Custody
Assets sit in contracts controlled by the vault operator.
A custodian, ours or yours, holds the tokenized securities and executes transactions. Nashpoint holds no vault permissions by default.
Compliance
Optional add-ons on permissionless vaults.
KYB/KYC allowlist and sanctions blocking enforced onchain in every vault.
Reporting
Share price and APY.
Onchain NAV and share register, with reports in the format your administrator and auditor use.
Risk
Shared exposure, manual incident response.
Isolated vaults, live monitoring by Hypernative, automatic pausing.
Tokenized securities
Issuer flows handled off-platform.
Standardized issuer integrations and async settlement, verified before finality.
Nashpoint · 03
What Nashpoint is

Your Strategy.Asset manager Custodied Assets.Custodian Onchain Operations.Smart contracts

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.

Nashpoint · 04
How it works

From Strategy to Live Vault

  1. 01

    Configure

    Select assets, set allocations and a liquidity reserve, define fees, access and pause policies.

  2. 02

    Deploy

    Vault deployed onchain and connected to your custodian.

  3. 03

    Accept subscriptions

    Allowlisted investors subscribe (deposit) in stablecoins and receive shares.

  4. 04

    Operate

    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

You Your fund administrator Your auditor
Nashpoint · 05
Execution

Clear Separation of Roles

Who does what: assets move between investors, the vault, the custodian and issuers. Nashpoint only handles data and software, never fund assets.
Assets Control & permissions Data & reporting
Asset manager

Sets strategy, fees, investor access and pause policy. Configures every vault permission.

Permissions
Your vault

Isolated smart contracts

KYB/KYC allowlist Sanctions blocking Onchain NAV Share register Pause policy Async settlement
Investors

Allowlisted investors

KYB/KYC-verified before they subscribe.

Stablecoins Shares
Custodian

Holds the tokenized securities

Executes every investment transaction.

Our partnerYours
Strategy Invest Redeem Settles
Issuers
DigiFT Centrifuge WisdomTree
+ your platform
Nashpoint

Licenses the rebalancing software, keeps the onchain share register and delivers reporting.

Never holds fund assets
Share register Reporting
Fund administrator & auditor

Your existing providers, working from the same onchain records.

HypernativeLive monitoring · automatic pause
Nashpoint · 06
Your vault

Your Vault, at a Glance

Illustrative example
Treasury & Credit Income Vault
Base asset USDC · Custodian: yours · Rebalancing: automated
Subscriptions open Allowlist enforced Monitored by Hypernative
AllocationCurrent vs target
AssetPlatformTargetCurrentDrift
JTRSYJanus Henderson · US TreasuriesCentrifuge45.0%45.8%+0.8 pp
JAAAJanus Henderson · AAA CLOsCentrifuge25.0%24.6%−0.4 pp
WisdomTreeDigital fundWisdomTree20.0%19.9%−0.1 pp
ReserveUSDC liquidityVault10.0%9.7%−0.3 pp

Drift band ±2 pp · next automated rebalance in 6 h, executed by your custodian

Liquidity reserve
9.7%target 10%
Redemption queue
2 requestssettled in order
Investors
38 allowlisted
Sanctions screening
On, contract level
Pause policy
Automatic on threat
Vault permissions
All held by youNashpoint: none
Nashpoint · 07
Assets

Use Existing Assets or Bring Your Own

Already available on Nashpoint
DigiFT
Tokenized assets by
Invesco BNY Mellon UBS
Centrifuge
JAAA & JTRSY by
Janus Henderson
WisdomTree
WisdomTree Prime Digital Funds
Bring your own

New tokenization platforms integrate in weeks through one standardized process — no bespoke custody setup or compliance wiring per issuer.

Your tokenization platform
Nashpoint · 08
Security

Built for Institutional Security

RiskControlHandled by
SettlementAsync settlement — every investment transaction is verified before finality.Smart contracts
ContagionEach vault’s risk is isolated; it isn’t exposed to protocol-level hacks.Vault design
Live threatsLive monitoring of every vault. If a threat is detected, the vault or protocol pauses automatically, per the manager’s pause policy.HypernativeAutomation
Code vulnerabilitiesTwo independent full-scope audits.CantinaGuardian
CustodyTokenized securities are held by a custodian, never by Nashpoint.Custodian
Operator accessNashpoint holds no vault permissions by default. The manager configures them all.Asset manager
Nashpoint · 09
Reporting & compliance

Reporting and Compliance, Built In

Reporting

Onchain accounting

NAV and share accounting are calculated onchain, using oracle price feeds such as Chainlink.

Share register

Nashpoint keeps the onchain share register, recording every subscription and redemption.

Your format

NAV, investor register, transactions, fee accruals, statements and performance, delivered however you need them.

Your providers

Works with your existing fund administrator and auditor.

Compliance

Allowlist

Only KYB/KYC-verified investors can subscribe, enforced onchain.

Sanctions

Addresses on OFAC or any other sanctions list are blocked at the contract level.

NAV statement
Treasury & Credit Income Vault
Share class A · Valuation date 30 Sep 2026
Illustrative
NAV per share1.0214
Shares outstanding24,318,550.00
Net assets (USDC)24,838,966.97
Subscriptions in period1,250,000.00
Redemptions in period(310,000.00)
Management fee accrued(2,041.10)
Pricing
Chainlink price feeds
Share register
Onchain · 31 holders
Onchain reference
0x7c4e…9a1f
Delivered to you, your fund administrator and your auditor, in your format
Nashpoint · 10
Customer validation
We have looked at other vault providers and you are the only thing that works for us.
Head of Product Structuring · Alternative assets specialist · $100B+ AUM
“You are thinking about and solving a lot of big problems for us.”
Head of Digital Assets · Tier One asset manager · $1T+ AUM
Nashpoint · 11
Next step

Let's Talk.

  1. 01

    Discovery Call

    Map your custody, compliance, and fund-admin stack.

  2. 02

    Configure & Deploy

    Vault deployed with your parameters and your custodian connected.

  3. 03

    Go Live

    Accept subscriptions, with live monitoring from day one.