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A modular architecture. Built function by function

Activate the modules each use case requires. New asset types and use cases are configured in minutes, not developed in months.

The Asseto platform's assets list, with the security type, issuer and status of each asset

Asseto, definitive from the start

Built to bring onchain finance strategies into reality.

End to end lifecycle management

Every stage of a tokenized asset's life runs on a single, unified platform, eliminating the need for multiple disconnected systems across the process.

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Any asset class, supported

All assets run on the same platform, without separate systems for each instrument type. New asset types are configured in minutes.

Grid of asset classes: commercial paper, equity, depositary receipts, REITs, bond, money market fund, preferred equity, repurchase agreement, stablecoin and deposit token

Configuration, not rebuilt

Activate the modules each use case requires and add more as the business grows. New asset types and use cases are done by configuration, not developed in months.

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Blockchain agnostic

Deploy on any public or permissioned blockchain, with no vendor lock-in, giving institutions full control over their infrastructure choices.

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Multi-chain support

Connect assets and settle transactions across multiple blockchain networks, enabling interoperability between internal platforms and external market infrastructures.

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Regulatory compliance, built in

Designed to meet the regulatory requirements financial institutions already operate under, with compliance controls embedded directly into the platform.

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Own the infrastructure

Installs and operates within your own environment, keeping full control over data, keys and infrastructure at all times.

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Easy integrations

API-first and easy to connect with CBS and systems already in use, without lengthy integration projects.

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Asset Factory: configuration over code

Launch new digital assets faster, without the cost and complexity of custom development.

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Any asset class, configured not coded

Pick the capabilities an asset needs and save them as a reusable blueprint, with no new smart contract work or API schema changes.

Multi-chain, multi-asset support

Configure and issue securities, credit, funds and other asset types across any DLT network, from a single configuration layer.

Granular roles and permissions

Assign asset management roles and enforce high-level asset controls, including emergency controls, over every issued asset.

Delegated registry and lifecycle

Retain ownership and control of issued assets while delegating registry, lifecycle and related services to third parties.

Asset registry: the authoritative ownership record

A unified, auditable record of ownership for every asset across any chain and channel.

On-Chain ownership registry

Maintain an accurate, auditable record of ownership, with every transaction tracked on-chain.

Manual transaction management

Issue, redeem, transfer or hold assets manually, with full control over the registry when required.

Regulatory enforcement built in

Apply eligibility criteria, freeze holdings, and enforce compliance at the registry level.

Complex holds and transactions

Handle holds and transactions beyond simple transfers, covering advanced registry operations.

Multi-chain registry support

Manage asset ownership across any supported DLT network, regardless of origin.

Multiple ownership

Associate multiple entities with a single account or holding, each assigned specific roles such as custodian, beneficiary, or manager.

Asset lifecycle: corporate actions and lifecycle events

End-to-end management, giving full oversight and control.

Service different asset types from a single module, covering a broad typology of assets and corporate actions.

Configure corporate actions and lifecycle events according to each asset's specific requirements.

Manage the full lifecycle of a corporate action, from creation and validation through to execution.

Track and manage the key dates that govern a corporate action, from the record date through to execution and payment.

Maintain a registry of corporate actions and their logic directly on-chain, ensuring accurate and auditable execution.

Trigger the settlement on-chain of corporate actions directly from the module, connecting servicing events to their execution.

Asset settlement: instructions & atomic DvP

Automates and oversees the settlement of digital asset and cash transactions, ensuring atomic finalization.

Multiple settlement instruction types

Wide range of settlement instruction types, including DvD, PvP, DvP, DFoP and PFoD.

Atomic and staged settlement

Support both atomic and staged DvP and DvD settlement, covering different levels of finalization risk depending on the transaction.

On-chain and off-chain settlement execution

Supports on-chain and off-chain leg settlement, adapting to the infrastructure each transaction requires.

Automated smart contract based clearing

Clear transactions automatically through smart contract logic, reducing manual intervention in the settlement process.

Settlement instruction creation and matching

Create, manage and match settlement instructions, generating the corresponding settlement transactions.

Configurable operating & settlement windows

Configure settlement operating hours, settlement windows and processing options according to operational requirements.

Primary market: from listing to settlement

Launch and manage issuances end to end, connecting issuers and market participants.

Asset listing management

Manage issuers and asset listings, giving issuing institutions the tools to request and configure primary issuances.

Configurable operating windows

Configure the rules (hours, settlement options among others) that govern each market.

Participant management & distributors

Manage which market participants can join a given offering. Support a distributor model extending participation in an offering beyond direct market participants.

Offering & subscription period management

Configure and manage subscription periods and offerings, covering the full window in which participants can express interest.

Secondary market: trading across any venue type

Configure, create and manage trading markets for any type of digital asset, connecting market participants.

Market operation configuration & management

Configure and manage the overall market setup, including the rules and logic that govern trading.

Configurable operating windows

Configure market opening times, giving administrators control over when a given market is active.

Pre & post market trading

Support pre and post trading periods, including auction mechanisms around the core trading session.

Asset listing management

Manage the listing, pausing and delisting of assets into the secondary market.

Explore Asseto’s success stories

View all use cases

Validating interbank payments with tokenized deposits.

Asseto supported the first initiative carried out in Spain to show how tokenized deposits can move between financial institutions with the same reliability as traditional interbank payments, while maintaining their existing legal, prudential and accounting treatment. With Cecabank acting as integrator, Asseto served as the tokenization platform for issuance, transfer and redemption, keeping on chain activity and core banking records automatically synchronised.

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