Tokenization Pack: structure the issuance, reduce regulatory risk, and align documents with real investor flows.
- RWA tokenization: real estate, invoices, commodities, revenue-share models.
- Tokenized funds / investment products (private placements, pro investors).
- Projects preparing for listings, partners or distribution platforms.
- Teams that need a clean SPV + agreements + disclosures baseline.
- Asset description, cashflow logic and enforcement hooks.
- Investor journey and distribution assumptions.
- Token rights: economic, governance, redemption/exit logic.
- Key risks and mitigations (structural, operational, legal).
- Issuer/SPV options (onshore/offshore combinations).
- Asset holding, management and custody logic.
- Flow-of-funds narrative and payment rails assumptions.
- Roles: manager, trustee/custodian, platform, servicers.
- Offering / participation terms outline.
- Disclosure scope and investor suitability posture.
- Core agreements list (asset, platform, service providers).
- Website/platform terms and risk disclosures baseline.
Ownership, encumbrances, cashflows, servicing, valuation, custody and enforcement.
Issuer/SPV, roles, investor rights, waterfall, exits, and dispute/enforcement mechanics.
Investor types, geographies, marketing constraints, suitability and restrictions.
Token terms, disclosures and agreements aligned to real flows and responsibilities.
Output: a coherent legal architecture that can be executed and explained — not a “diagram without documents”.
- Asset + cashflow logic summary.
- Investor rights and waterfall outline.
- Operational responsibilities matrix.
- Key risk factors & mitigations.
- Legal wrapper options and recommendation.
- Asset holding / custody arrangement outline.
- Flow-of-funds narrative and payment rails.
- Roles and outsourcing controls baseline.
- Participation/token terms outline.
- Risk disclosures and disclaimers scope.
- Suitability / restriction posture baseline.
- Investor communications framework (baseline).
- Asset acquisition/holding/servicing agreements.
- Issuer/SPV governance & delegated authority.
- Platform/operator agreements (if applicable).
- Custody/trust/escrow concepts (as needed).
- Terms of Use / platform terms outline.
- Privacy/cookies baseline (as needed).
- Risk disclosures placement logic.
- Restricted jurisdictions/client type rules.
- High-level classification and licensing exposure.
- Private placement vs platform distribution logic.
- Cross-border constraints and marketing posture.
- Roadmap to licensing/compliance (if required).
Is this pack only for real estate tokenization?
No. It fits most RWA and tokenized participation models: real estate, invoices/receivables, commodities, revenue-share, funds, private credit and similar structures.
Does Tokenization Pack include a “whitepaper”?
We focus on legal structure and investor-facing terms/disclosures. If you need a whitepaper, we can review it or align it to the legal terms so the narrative matches enforceable documents.
Can we launch without an SPV?
Sometimes yes, but it depends on the asset, cashflow routing, investor rights and liability containment. We usually propose at least one structure option with a clear “why”.
What do you need from us to start?
A short description of the asset, where it is located, how cashflows are generated, target investors (retail/pro), target markets/geographies, expected volumes, and whether you plan platform distribution or private placement.
- RWA tokenization with clear cashflows and asset control.
- Projects preparing for platforms, investors or audits.
- Teams that need SPV + terms + disclosures baseline.
- Models where enforcement and custody must be clear.
We align structure to real flows — that’s what partners and investors evaluate.