Fractional from €100
Open access to bonds, real estate, funds and commodities programmes with low minimum tickets and fully digital onboarding — for investor segments the issuer is authorised to serve.
CoreFi tokenizes government bonds, investment funds, commercial real estate and commodities into compliant digital assets, with automated distributions, NAV-driven servicing and an institutional cap-table — all on one platform.
CoreFi bridges traditional finance and blockchain with a platform built for issuers, distributors and regulators. Make assets investable from €100, automate the back office, and reach a broader investor base — within the eligibility rules of each jurisdiction.
The hard part of tokenizing real-world assets is not the token. It is the SPV, the prospectus, the distributions, the NAV, the corporate actions, the audit trail and the regulator-facing reporting. CoreFi packages those operational layers into one platform so the token, the cap-table and the back office stay in sync from issuance to maturity.
Open access to bonds, real estate, funds and commodities programmes with low minimum tickets and fully digital onboarding — for investor segments the issuer is authorised to serve.
Smart contracts calculate and distribute coupons, dividends and rental income to token holders on schedule. Treasury approvals stay with a human; the execution is mechanical.
24/7 digital distribution, multi-jurisdiction onboarding flows and white-label investor portals widen the addressable base — within the marketing and eligibility rules of each market.
Every position, transfer, distribution and corporate action is traceable from the SPV's books to the on-chain record. Auditors and supervisors get a single, consistent view.
Each shape uses the same lifecycle engine. The difference is the underlying asset, the legal wrapper and the cash-flow logic.
Tokenized bond programmes with coupon schedules, redemption logic and supervisory reporting. Suitable for sovereigns, financial institutions and corporates issuing through an authorised platform.
Fund and feeder vehicles distributed as tokens, with NAV-driven subscriptions and redemptions, gating logic and investor-eligibility checks enforced at the contract level.
SPV-wrapped real estate tokenized at property or portfolio level, with rental-income distributions, occupancy reporting and exit-event handling baked into the token lifecycle.
Asset-backed programmes — commodities, structured receivables, supply-chain finance — with verifiable links between the token and the underlying asset and automated cash-flow distribution.
Structured workflow for legal structuring, valuation, documentation and token design — with SPV setup, prospectus assembly and counsel review hooks built in.
Manage tokens from issuance through maturity, with automated corporate actions, redemption windows and cap-table maintenance keyed to the underlying asset.
White-label marketplace for primary issuance and secondary trading, with integrated onboarding, payments, statements and document delivery.
Coupon, dividend, rental-income and redemption payouts in fiat and stablecoins, scheduled and reconciled against the cap-table at every settlement window.
NAV calculation, fee accruals and pricing feeds for fund vehicles, with scheduled cuts, audit packs and supervisory exports for each period.
Position, transfer and holder reports, tax-ready data extracts and supervisory submission feeds — packaged for issuers, investors and regulators.
RWA programmes are deadline-driven and document-heavy. CoreFi exposes typed agent tools so AI-driven operations stay inside the same governance perimeter as a human team.
Drafts token parameters, assembles SPV and prospectus checklists and prepares investor packs. Human counsel and the issuer's officers approve every artefact before launch.
Schedules and reconciles distributions, redemptions and corporate actions. Treasury and the responsible officer approve every payout before it leaves the SPV's account.
Builds periodic NAV statements, holder reports, tax extracts and supervisory submissions from the platform's authoritative data — with full lineage to the SPV's books.
CoreFi is the operating platform for the issuer, distributor or fund manager. Regulatory authorisation, prospectus approval, marketing-rule compliance and ongoing supervisory obligations remain with the licensed entity in each jurisdiction. The platform's audit trail, transfer-rule enforcement, NAV records and reporting feeds are designed to make those obligations easier to evidence — they do not transfer them.
A 30-minute working session with our solutions team. We walk through your asset class, your legal wrapper, your target investor base and the operating model — and map it to a CoreFi RWA programme.