Financial and legal audit, August 2026
AuditcnTRYBPublished
Published 28 Aug 2026 by [Audit firm], part of the audits, cntryb series. Sample data.
File
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What the document records
ScopeFinancial statements of the issuer, authority to issue, custody arrangement, asset existence
Findings[Findings summary]
Period[period]
Firm[Audit firm]
Signed off by[Signatory to be published]
Version history
Code audit, September 202602 Sep 2026 · PDF, 2.4 MB · 9f2a41c8Financial and legal audit, August 202628 Aug 2026 · PDF, 3.1 MB · 4c77be10
Every version stays available at its own address, so a report filed last quarter keeps working.What changed
| Field | Financial and legal audit, August 2026 | Code audit, September 2026 |
|---|---|---|
| Scope | Financial statements of the issuer, authority to issue, custody arrangement, asset existence | Token contract, access controls, upgrade path, reserve logic |
| Findings | [Findings summary] | [Findings summary] |
| Period | [period] | Not stated |
| Firm | [Audit firm] | [Audit firm] |
| Signed off by | [Signatory to be published] | [Signatory to be published] |
| Contract version | Not stated | [commit hash] |
Follow this series
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Nothing on this site constitutes investment, legal or tax advice.Availability depends on your jurisdiction and investor status.
Asset fact sheet
Back to the asset pageTwo pages, A4. The browser print dialog saves it as a PDF.
Türkiye Treasury Bill Token
cnTRYBTreasury billsVerified twice
Target yield32.84%
NAVTRY 1.0421
TVLUSD 12.4M
Reserves to supply100.6%
Underlying
| Instrument | Maturity | Weight | Value |
|---|---|---|---|
| Turkish treasury bill | Dec 2026 | 31.2% | TRY 26,364,000 |
| Turkish treasury bill | Feb 2027 | 27.9% | TRY 23,575,500 |
| Turkish treasury bill | May 2027 | 22.4% | TRY 18,928,000 |
| Turkish treasury bill | Aug 2027 | 18.5% | TRY 15,632,500 |
| Total | 100.00% | TRY 84,500,000 | |
Eligibility and access
Eligible investorsProfessional and institutional investors in permitted jurisdictions [to be confirmed by counsel]
Minimum subscriptionTRY 100,000 [sample]
Restricted jurisdictionsSee the eligibility page
VerificationKYC and investor classification required
Where to subscribeCenterNetwork app
Structure and custody
Issuer[Issuer SPV name], [jurisdiction]
UnderlyingTurkish government treasury bills, 3 to 12 month maturities
Custodian[Custodian name]
Agent[Agent or trustee]
Bankruptcy remoteness[Statement supplied by counsel]
Contract0x[address]
Terms and fees
Yield methodologyPortfolio yield to maturity, net of fees, updated daily
DistributionAccrues to NAV
RedemptionAt NAV, T+2 business days [to be confirmed]
FeesManagement 0.50% per year [sample]; redemption 0%
NetworksCenterChain
ReportingMonthly attestation; audit on every contract change and annually for financials
Audits and documents
| Document | Type | Published | Checksum |
|---|---|---|---|
| Smart contract audit | Audit or attestation | 02 Sep 2026 | 0xa4c2…19f0 |
| Financial and legal audit | Audit or attestation | 28 Aug 2026 | 0x5d7e…b3a8 |
| Latest monthly attestation, August 2026 | Audit or attestation | 05 Sep 2026 | 0xe08c…44d1 |
| Term sheet | Offering | 12 Sep 2026 | 0x3f9a…c21e |
| Offering memorandum | Offering | 12 Sep 2026 | 0x91b0…7de4 |
| Legal opinion | Offering | [Date] | Pending |
| Custody confirmation | Custody | [Date] | Pending |
[QR code generated at build time]
centernetwork.io/markets/cntrybOpen the asset page for the live figures, the full audit trail and every document with its checksum.[Regulatory status statement: to be confirmed by counsel]Nothing on this site constitutes investment, legal or tax advice. · Sample data