[Offering name]
[Issuer]Open
A token offering by [Issuer] with the Dual Audit Standard completed before the subscription window opens.
TimelineSample data · dates from the offering record
28 Aug 2026
Announcement
12 Sep 2026
Window opens
26 Sep 2026
Window closes
30 Sep 2026
Settlement
05 Oct 2026
Listing
Terms
Eligibility and access
Eligible investorsProfessional and institutional investors in permitted jurisdictions [to be confirmed by counsel]
Minimum subscriptionTRY 50,000 [sample]
Allocation rule[Pro-rata, published before the window opened]
VerificationKYC and investor classification required
Structure and custody
Issuer[Issuer], [jurisdiction]
Instrument[Instrument type]
Custodian[Custodian]
SettlementOn CenterChain, 30 Sep 2026 [sample]
Contract0x6b21…e4c9 [sample]
Terms and fees
Offering size[Size]
Price[Price per token]
FeesPublished per offering
Reporting[Schedule in the term sheet]
Secondary tradingOn Center Swap where permitted, from listing
Documents
Offering memorandumRead the report
Term sheetRead the report
Legal opinionRead the report
Smart contract auditRead the report
Financial and legal auditRead the report
Verified twice
Verified twiceVerified
On-chain auditScope: offering contract, allocation logic, settlement and transfer restrictions
Financial and legal auditScope: issuer financial statements, authority to issue, custody arrangement, use of proceeds
Key risks
- Issuer credit risk: repayment and distributions depend on the issuer meeting its obligations.
- Allocation risk: subscriptions may be scaled back under the published allocation rules.
- Liquidity risk: secondary trading, where permitted, may be thin and prices may differ from the offering price.
- Currency risk: the offering currency may move against your home currency.
- Smart contract risk: audited code can still contain defects.
- Regulatory and tax risk: rules differ by jurisdiction and can change.
Questions
Under the rule published in the term sheet before the window opens; oversubscriptions are scaled and unused funds returned.
At settlement on the date in the timeline, to the wallet or account you subscribed from.
No. Transfers open at listing, and only where secondary trading is permitted.
The issuer publishes reports on the schedule in the term sheet; each is listed on this page with its hash.
The on-chain audit covers the offering contract, allocation logic, settlement and transfer restrictions. The financial and legal audit covers the issuer’s financial statements, authority to issue, custody arrangement and use of proceeds.
Past performance is not indicative of future results.Availability depends on your jurisdiction and investor status.
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1 Country2 Investor type3 Result
Check eligibility
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Investor type
You can continueAvailability depends on your jurisdiction and investor status. The app will verify your identity before the first subscription.
Restricted jurisdictionAvailability depends on your jurisdiction and investor status. This offering is not available for the selected country.