Tokenized Funds

Tokenized Fund Platform Development

We build tokenized fund platforms for fund managers, asset managers, and investment platforms that want to digitize the investor experience — from subscription and onboarding to NAV tracking, capital calls, distributions, and LP reporting.

Who This Is For

Fund managers launching digital fund products
Asset managers exploring tokenization
Family offices managing external LP capital
Venture capital and private equity funds
Real estate and credit funds
Fintech platforms distributing fund products

What We Build

Investor Portal

A fund investor portal where LPs can view fund information, their allocation, NAV, distributions received, capital call notices, and fund documents.

Fund Information Pages

Structured fund pages with strategy overview, team information, performance data, fee structure, key terms, and investor disclosures.

Subscription Documents

Digital subscription document delivery, collection of investor information, and e-sign integration. Configurable for different investor types and jurisdictions.

KYC / KYB & Accreditation

Investor identity verification, AML screening, and accreditation or professional investor eligibility checks integrated into the onboarding flow.

Tokenized Share Representation

Smart contracts representing fund interests or shares. Transfer restrictions ensure tokens only move between verified and eligible investors.

Capital Calls & Distributions

Capital call notice delivery and confirmation workflows. Distribution management for income, dividends, or return of capital with investor-level payment tracking.

NAV Tracking

Display fund NAV per share/unit and manage NAV updates from the admin dashboard. Connect to pricing feeds or manual input flows.

Admin Dashboard

Fund manager tools: investor registry, cap table, document management, capital call management, distribution management, and compliance reporting.

Transfer Controls

On-chain and off-chain transfer restrictions that enforce investor eligibility at the point of transfer. Lock-up period enforcement and jurisdiction-based rules.

Core Platform Features

1

Investor portal

2

Fund information pages

3

Subscription documents

4

KYC / KYB

5

Tokenized share representation

6

Capital calls

7

Distribution tracking

8

Reporting

9

Admin dashboard

10

Transfer controls

11

Investor communications

Technical Architecture

01

Smart Contracts

  • Fund token standard (ERC-1400/ERC-3643)
  • Transfer restriction with whitelist
  • Capital call logic (optional on-chain)
  • Distribution logic
  • Lock-up period enforcement
02

Backend

  • Fund and investor management
  • NAV calculation and update service
  • Capital call orchestration
  • Distribution engine
  • Document and subscription management
03

Frontend

  • Investor portal (holdings, NAV, distributions, documents)
  • Fund information pages
  • Subscription and onboarding flow
  • Admin fund management dashboard
  • LP communications
04

Compliance

  • KYC / KYB provider integration
  • Accreditation workflow
  • Transfer restriction management
  • AML screening
  • Audit logs and reporting

Compliance & Regulatory Note

Fund tokenization involves regulated securities products in most jurisdictions. Fund structuring, investor eligibility requirements, offering documents, and regulatory approvals require qualified legal and fund administration expertise. We build the technology platform and compliance tooling; we do not provide fund management, investment advice, custody, or regulated financial services.

Build Scope

MVP Scope

A focused first build that delivers core value.

  • 1
    Investor onboarding and KYC
  • 2
    Fund information page
  • 3
    Subscription flow with document collection
  • 4
    Token issuance with transfer restrictions
  • 5
    Investor portfolio view
  • 6
    Admin investor registry and cap table
  • 7
    Basic capital call and distribution management
Advanced Features

Capabilities to add once the core is live.

  • Multi-fund platform
  • Secondary transfer portal
  • Stablecoin subscription and distribution
  • On-chain capital call and distribution contracts
  • NAV oracle integration
  • Institutional LP communications suite
  • Regulatory reporting exports
  • Third-party fund administrator integration

Why Work With Us

Web3 + Fintech Execution

Deep blockchain expertise combined with practical fintech and payment product knowledge.

Full-Stack Implementation

Frontend, backend, smart contracts, wallet integrations, and admin dashboards in one engagement.

On-chain + Off-chain Design

Systems that bridge blockchain and traditional infrastructure — crypto and fiat where needed.

Compliance-Aware Development

KYC/KYB, AML, and risk control integrations built in from day one, not as an afterthought.

Fast MVP Delivery

Lean, deployable MVPs that validate product-market fit before scaling the platform.

Ongoing Support

Post-launch maintenance, scaling, feature development, and third-party integration updates.

Frequently Asked Questions

What types of funds can be tokenized?
Venture capital funds, private equity funds, hedge funds, real estate funds, credit funds, and money market funds are all candidates. The right approach depends on the fund structure, investor base, and regulatory context.
How are tokenized fund interests different from traditional LP interests?
From a legal standpoint, they may be identical — the token is a digital representation of the same interest. The benefit of tokenization is operational: faster transfer, automated compliance gates, digital investor portal, and potentially a secondary market. The legal rights and fund economics remain the same.
Can the investor portal replace traditional LP communications?
It can substantially digitize them. Capital call notices, distribution announcements, financial reports, and LP letters can all be delivered and acknowledged through the portal. Integration with email notifications ensures LPs are alerted.
How are capital calls managed?
We build capital call management in the admin dashboard. The fund manager creates a capital call, sets the drawdown amount per investor based on commitment, and the system notifies LPs with payment instructions. Paid status is tracked and updated in the investor registry.
Can the fund accept USDC subscriptions?
Yes. We build stablecoin subscription flows where investors subscribe by sending USDC or USDT to a designated address. The platform detects the transfer, credits the investment, and issues tokens accordingly.
What is needed to build a tokenized fund platform?
Technology is one component. You also need a legal fund structure, investor documents, regulatory approvals (where applicable), and custody for the underlying assets. We build the technology platform and work alongside your legal and fund administration partners.

Building a Tokenized Fund Platform?

We build the digital infrastructure for your fund tokenization program. Let us scope the investor portal, smart contracts, and administration tools.