Reserve
What the fees have bought.
One reserve for every launch. Each claim is swapped into the asset the token backs and booked here at spot, with the tx, the units and the issuer's last attestation. The balance is the sum of the ledger, never a stored number.
Raised
$0.00
NAV
$0.00
Yield paid
$0.00
Accrued
$0.00
Unswept
0.00002 ETH
Distributions
0
Treasury
0xD9F354873Af5D3EC7658683eAcDfC60aF8E73821 ↗Receives every launch's 2%, holds the asset tokens. Balances are on the explorer.
Registry
0x161a22e3edfa4836dd1b214ea5fe915c6d798cd2 ↗Which asset each token backs, written in the launch transaction. How to check it yourself
Allocation
Holdings
Proof of reserves
Nothing bought yet. The first claim lands here with its transaction.
| Asset | Backed by | Units | Cost | NAV | P/L | Yield | Paid out | Attested |
|---|
NAV reads the issuer's last published price. Cost is what the keeper paid at the time of purchase, ETH converted at spot. Issuer AUM for context: $0.00 across the assets held.
Ledger
Attestations and claims
No rows yet.