Pricing

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.

Transparent fee rangesAudit-ready operationsControlled liquidity (RFQ/windows)
At a glance

Typical ranges

Pricing depends on asset type, jurisdictions, and operational complexity.

Issuance fee
1.5–2.0%
per deal
Trading fee
0.5–0.75%
on volume
Compliance subscription
€1k–€5k
per month

Plans

Choose the operational tier you need

Subscription covers compliance operations and platform access. Usage fees apply for issuance and secondary workflows.

Plan
Starter
For pilots and first issuance workflows.
Compliance / month
1 000€2 000€
billed monthly
Best for
  • Single jurisdiction
  • Small ops team
  • First issuance
Includes
  • KYC/KYB workflows
  • Document room + audit trail
  • Basic API & webhooks
Start with Starter

Usage fees: issuance (1.5–2.0% per deal) + trading (0.5–0.75% on volume).

Recommended
Growth
For teams scaling operations and controlled liquidity.
Compliance / month
2 000€5 000€
billed monthly
Best for
  • Multiple assets
  • Investor reporting
  • Liquidity windows / RFQ
Includes
  • Transfer policies & allowlists
  • Liquidity windows / RFQ
  • Advanced reporting
Talk to sales

Usage fees: issuance (1.5–2.0% per deal) + trading (0.5–0.75% on volume).

Plan
Enterprise
For complex structures and custom integrations.
Compliance / month
5 000€12 000€
billed monthly
Best for
  • Custom workflows
  • Integrations
  • Advanced governance
Includes
  • Custom SLA + security reviews
  • White-label + advanced roles
  • Integrations (as needed)
Request a quote

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.

Feature
Starter
Growth
Enterprise
KYC / KYB onboarding
Document room + immutable audit trail
Issuance operations (primary)
Transfer policies & allowlists
Policy scope depends on assets & jurisdictions.
Basic
Advanced
Custom
Investor portal & reporting
Standard
Advanced
Custom
Secondary workflows (RFQ / liquidity windows)
Lite
API & webhooks
Basic
Advanced
Custom
Team roles & approvals
Standard
Advanced
Custom
White-label branding
Add-on
Security review / custom SLA
Add-on

Estimator

Model your costs in 30 seconds

Indicative estimate using typical ranges. This is not a quote—use it to sanity-check economics.

Deal size (EUR)
Used to estimate issuance fee.
20 000 000€
Issuance rate (1.80%)
Typical range: 1.5–2.0%.
1.80%
Monthly trading volume (EUR)
Used to estimate monthly trading fee.
5 000 000€
Trading rate (0.65%)
Typical range: 0.5–0.75%.
0.65%
Compliance subscription
Add-ons (monthly)

Disclaimer: fee components depend on asset type, jurisdictions, investor eligibility workflows, and operational scope.

Summary
Indicative totals
Estimate
Issuance fee (one-off)
360 000€
Trading fee (monthly)
32 500€
Compliance (monthly)
2 500€
Add-ons (monthly)
1 950€
Monthly total
36 950€
First month (incl. issuance)
396 950€
Want this as a quote?
Share asset type + jurisdictions + expected investors, and we’ll propose a scoped quote.
Talk to an expert

We optimize for predictable ops: eligibility checks, transfer controls, and audit trails by default.

FAQ
Pricing questions, answered
For enterprise pricing, the fastest path is a short call with your asset, jurisdictions, and onboarding constraints.
Next step

Get a clear quote in one call.

Bring an issuer use case and we’ll map onboarding → rules → operations → liquidity windows.