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Bring your fund onchain.
Without rebuilding your stack.
CoinBridge handles the regulatory, technical, and operational rails so your team can focus on the asset, not the infrastructure.
What you get
Three pillars. One platform.
01
Compliance-aware token contracts
ERC-3643 on EVM, Token-2022 on Solana. Transfer rules, lock-ups, jurisdiction gates, and accreditation checks live on-chain, not in a brittle off-chain spreadsheet.
02
Multi-chain deployment
Issue once, deploy across Ethereum, Base, Solana, and BNB Chain. Your investors get to use the wallet they already trust. You manage a single cap table across all of them.
03
White-labeled investor portal
Your brand, your domain. KYC, subscription flow, cap table, distributions, document vault, and tax docs. All running on rails CoinBridge maintains.
The stack you avoid building
Six engineering teams you do not have to staff.
Every item below is a 6 to 18 month engineering project for a fund that builds in-house. CoinBridge ships it as a service.
i
KYC and accreditation pipelines
Persona + Parallel Markets, with re-verification on a schedule.
ii
Transfer agent integration
Cap table ledger, share class management, corporate actions.
iii
Sanctions and PEP screening
Daily re-screens against OFAC, EU, UK sanctions lists.
iv
Distribution & waterfall calculation
Promote, preferred return, GP catch-up, all configurable.
v
K-1 and 1099 generation
Annual tax docs across all investors and asset classes.
vi
Audit-grade event logging
Every compliance action recorded, queryable, exportable.
From real estate to T-bills, structured for the right wrapper.
Real estate
Stabilized and value-add commercial and multifamily. Reg D 506(c). Distributions via stablecoin or wire.
Private credit
Direct lending, structured credit, ABL. 12 to 36 month notes with monthly interest distributions.
Public equities
Tokenized exposure to listed equity baskets for non-US investors. Reg S compliant.
Treasury bills
Short-duration US Treasury basket. Daily NAV, daily yield accrual on-chain.
Fund shares
LP interests in private funds, tokenized to enable secondary liquidity within a compliant whitelist.
Custom structures
If your asset does not fit a template, we design a custom wrapper with our counsel.
How we engage
From first call to live offering, typically eight to twelve weeks.
01
Discovery
Asset review, investor base, target chains, timeline.
02
Structuring
Regulatory wrapper, transfer restrictions, SPV setup with counsel.
03
Implementation
Contract deployment, portal branding, KYC pipeline setup.
04
Launch
Primary issuance, investor onboarding, first subscriptions.
05
Servicing
Distributions, transfers, reporting, and tax docs, ongoing.
Bring your asset. We will handle the rails.
We onboard a limited number of new issuers each quarter. Request access and we will be in touch within two business days.