RWA
rwa.l2.ippan.com
Canonical truth layer for tokenized real-world assets with deterministic compliance and audit trails.
IPPAN RWA is purpose-built infrastructure for institutional-grade real-world asset tokenization. The platform provides a complete issuance pipeline: registered issuers create asset programs, each containing one or more series with configurable denomination, coupon rates, maturity dates, and transfer restrictions. Investor identities undergo KYC/AML verification before participating in any holding. Transfer policies enforce country-level blocking, investor-type whitelisting, per-wallet holding caps, and series-level freezes. A deterministic compliance engine evaluates every proposed transfer against the full policy stack before execution. Distribution servicing handles coupon payments and principal returns across all holders of a series, while redemption workflows manage investor exit requests through approval stages. Every state change is recorded in an append-only event log with SHA-256 proof hashes and monotonic sequence numbers, creating an immutable audit trail suitable for regulatory examination.
Investor Lens
Connects tokenization demand to regulated issuance and servicing, where infrastructure trust determines enterprise adoption.
Features
Key Capabilities
Issuer Onboarding & Program Management
Register issuer entities with legal names, jurisdictions, and regulatory IDs. Create asset programs under each issuer with configurable asset classes and series limits. Full status lifecycle from pending approval through active operation to suspension.
Series Issuance & Lifecycle
Issue asset series with ISIN/CUSIP identifiers, face values, coupon rates, maturity dates, and supply management. Track outstanding supply, manage series status transitions, and attach document anchors for prospectuses and term sheets.
Investor Identity & Compliance
Wallet-based investor identities with KYC/AML verification status, country classification, and investor-type tagging. Transfer policies enforce country-level blocking, investor whitelisting, per-wallet holding caps, and series-level freezes.
Distribution & Redemption Servicing
Automated distribution workflows for coupon payments and principal returns across all holders of a series. Redemption requests flow through approval stages with quantity validation, pricing, and settlement tracking.
Deterministic Compliance Engine
Every proposed transfer is evaluated against the full policy stack before execution. The engine checks KYC/AML status, country restrictions, investor eligibility, holding limits, and series-level freeze state, returning allow/deny with detailed reasons.
Cryptographic Audit Trail
Every state mutation is recorded in an append-only event log with SHA-256 proof hashes and monotonic sequence numbers. Holder snapshots capture point-in-time state for regulatory examination and record-date distributions.
How It Works
Issuer registers and creates an asset program
An issuer entity is onboarded with legal identity, jurisdiction, and entity type. They create one or more asset programs, each defining an asset class and maximum series count.
Series are issued under the program
Each series carries its own ISIN, denomination, coupon rate, maturity date, total supply, and transfer restriction set. Document anchors link to hashed prospectuses and term sheets.
Investors verify identity and acquire holdings
Wallet addresses undergo KYC/AML verification. Once approved, the compliance engine validates every transfer against the series transfer policy before holdings are recorded.
Servicing runs: distributions and redemptions
Coupon distributions are computed per-holder based on record-date snapshots. Redemption requests flow through approval stages with quantity and pricing validation.
Audit trail provides regulatory proof
Every mutation generates a sequenced event with a SHA-256 proof hash. The full event log and holder snapshots are available for regulatory examination at any point.
Explore RWA Live
Full dashboard with real data, API endpoints, and admin controls.