About the metrics on this page
For tokenized treasuries we track NAV, holder count, custody bank, and audit references when published. NAV updates lag the issuer's snapshot cadence — typically daily for funds with public NAV pages.
Where authoritative public data exists, we surface it. Where it doesn't, we hedge rather than fabricate. Pro tier (in development) will provide deeper editorial commentary on each product's economics.
About
DTC- and Fed-eligible securities on Canton — specifically tokenized US Treasuries. MVP planned for Q2 2026 in controlled production, scaling thereafter.