Platform

The operating platform for tokenised ownership

Ownify is a configurable system for creating and running tokenised investment products. It covers the operating model, the controls, the investor relationship, the ownership record and the servicing that follows — under your brand, across asset classes and markets.

The ownership lifecycle

What the platform covers

Six stages, one system of record. Every stage writes to the same asset, investor and ownership data, so the product you launch is the product you can still operate in year five.

01
Structure
Model the asset, entity, economics, documents and investor terms.
02
Control
Configure eligibility, permissions, approvals and transfer policy.
03
Distribute
Onboard eligible investors and connect distribution channels.
04
Issue
Deploy and allocate the instrument through authorised workflows.
05
Service
Administer holders, distributions, reporting, governance and recovery.
06
Connect
Extend into custody, payments, marketplaces and liquidity venues.
Modules

One operating system for every participant

Six modules, licensed together. Each one maps onto the lifecycle stages above.

Issuance Studio

Configure assets, economics, documents, approvals and issuance parameters in one controlled workspace.

  • Asset and issuer profiles with versioning on every edit
  • Investment structure, operating performance and long-range projections
  • Instrument design — supply, pricing, payout asset, transfer model
  • Document sets, disclosures and investor terms
  • Approval chains before anything reaches an investor
The asset structuring wizard, showing the identity stage of a sample asset with its symbol, supply, token price and payout asset.

Compliance and Control

Turn investor eligibility, jurisdiction, transfer and operating requirements into executable platform policies.

  • Investor classification and jurisdiction rules
  • Eligibility gating enforced at subscription and at transfer
  • Role-based permissions and multi-party approval
  • Authorised signing and custody requirements
  • Recovery and administrative actions with full audit history
The holder register with identity status for each investor, from unverified through to verified, and the counts for each state.

Investor Experience

Deliver branded onboarding, subscriptions, wallets, holdings, documents and servicing to investors.

  • Branded portal on your own domain
  • Identity and eligibility onboarding with a real status pipeline
  • Subscription, document acceptance and settlement
  • Holdings, statements and distribution history
  • Wallet connection, or custody where investors prefer it
The holder view of claimable revenue alongside the operator deposit control and the distribution history.

Ownership Administration

Maintain a complete view of holders, positions, transactions, restrictions and ownership events.

  • The official holder register, reconciled against the ledger
  • Positions, restrictions and encumbrances
  • Every mint, transfer, fee and claim with its event history
  • Reporting for issuers, administrators and auditors
  • Data separation between tenants and programs
The audit trail listing every mint, transfer, fee and claim with its amount, fee and transaction reference.

Asset Servicing

Operate distributions, notices, reporting, governance, redemptions and exit events throughout the asset lifecycle.

  • Distribution calculation and payment against the register
  • Notices, investor reporting and tax documents
  • Corporate actions and capital events
  • Voting and governance thresholds
  • Redemption, recovery and exit processing
Contract deployment with the network selector and a completed deployment log.

White-label Control Plane

Configure brands, domains, asset classes, workflows, participants and integrations from a shared platform foundation.

  • Brand, theme and vertical vocabulary resolved per domain
  • Multiple programs and asset models on one foundation
  • Participant roles for advisers, administrators and partners
  • Integration configuration per market
  • One codebase — no fork per brand
Proof

See the issuer console

A working tour of the real screens — structuring, deployment, holders, revenue and the audit trail — running on a demo tenant with sample figures.

Technology

Engineered as financial infrastructure

The commercial model comes first, but the foundation should stand up to technical diligence. Here is what runs underneath.

Instruments
Configurable ownership tokens, revenue vaults with pro-rata claims, and primary subscription contracts
Networks
Production and rehearsal networks, with the network selected per program rather than fixed by the platform
Settlement
Configurable payout asset per program, fiat and digital-asset routes
Control plane
Typed API over a per-tenant registry of assets, ownership positions, investors and distributions
Identity
Hosted verification with webhook-driven status changes and re-checks
Tenancy
Brand, vertical vocabulary and configuration resolved from the request host, with data separated per tenant
Assurance
Distributed tracing, service-level objectives and CI quality gates on every change

Configure the platform around your structure

Bring the asset or the program. We will show you how the platform would be configured around your operating model, participants and market.