Pricing that scales with execution.
Subscription covers compliance operations and platform access. Usage fees apply for issuance and secondary workflows. Built for qualified investors and issuers with clear controls and auditability.
Plans
Choose the operational tier you need
Subscription covers compliance operations and platform access. Usage fees apply for issuance and secondary workflows.
- Single jurisdiction
- Small ops team
- First issuance
- KYC/KYB workflows
- Document room + audit trail
- Basic API & webhooks
Usage fees: issuance (1.5–2.0% per deal) + trading (0.5–0.75% on volume).
- Multiple assets
- Investor reporting
- Liquidity windows / RFQ
- Transfer policies & allowlists
- Liquidity windows / RFQ
- Advanced reporting
Usage fees: issuance (1.5–2.0% per deal) + trading (0.5–0.75% on volume).
- Custom workflows
- Integrations
- Advanced governance
- Custom SLA + security reviews
- White-label + advanced roles
- Integrations (as needed)
Usage fees: issuance (1.5–2.0% per deal) + trading (0.5–0.75% on volume).
Notes: values shown are indicative. Final pricing depends on assets, jurisdictions, and operational scope.
Comparison
What’s included by plan
Straightforward coverage of platform capabilities. Add-ons available where needed.
Estimator
Model your costs in 30 seconds
Indicative estimate using typical ranges. This is not a quote—use it to sanity-check economics.
Disclaimer: fee components depend on asset type, jurisdictions, investor eligibility workflows, and operational scope.
We optimize for predictable ops: eligibility checks, transfer controls, and audit trails by default.
Get a clear quote in one call.
Bring an issuer use case and we’ll map onboarding → rules → operations → liquidity windows.