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Markets.

Every asset here has passed the Dual Audit Standard. Yields are targets, updated live, and shown net of fees.

Total valueUSD 41,0M3 assets listed
Target yield4,21% to 32,84%target, net of fees
Verified2 of 3passed both audits
Currencies2USD, TRY
Value by currency
  • USD52,9%USD 21,7M
  • TRY47,1%USD 19,3M

3 of 3 assets · Sample data

Type
Currency
TypeCurrencyTarget yield is variable, not guaranteed and shown net of fees.Reserves to supplyLast attestationAudit statusEligibilityAction
Turkish Lira Deposit Yield TokencnTRYDBank depositsTRY29,10%TRY 1,0088USD 6,9M100,3%05 Sep 2026VerifiedProfessional and institutionalView asset
Türkiye Treasury Bill TokencnTRYBTreasury billsTRY32,84%TRY 1,0421USD 12,4M100,6%05 Sep 2026VerifiedProfessional and institutionalView asset
US Treasury Bill TokencnUSTBTreasury billsUSD4,21%USD 1,0063USD 21,7MPendingPendingPending[to be confirmed]View asset
Target yield is variable, not guaranteed and shown net of fees. · Sample dataPast performance is not indicative of future results.Availability depends on your jurisdiction and investor status.

Two answers decide what you can hold.

Answer oneCountry of residence
  • Permitted: the asset stays open, subject to answer two.
  • Restricted: nothing here is offered to you, and the row says so.
[Jurisdiction list: to be confirmed by counsel]
Answer twoInvestor type
  • Individual
  • Professional
  • Institutional
Assets marked professional and institutional are not available to individuals.
One verdict per assetIt appears in the Eligibility column above and at the top of every asset page.
Available to you: the asset is live, your country is permitted and your type matches. Subscribing still needs identity verification and investor classification.
Opens after both audits: your answers fit, but this asset has not published both reports yet, so nothing is minted and nothing is offered.
Restricted: either your country is on the restricted list or the asset is limited to professional and institutional investors. Talk to us if your situation is different.
Nothing is stored until you ask us to remember it, and the answers stay on this device.
This is the rule the site applies, not a description of one: two answers in, one verdict per asset out. The restricted jurisdiction list and the investor classifications are set out on the eligibility page, which governs.

How yield reaches you.

Custodian holds the billsYield accrues to NAV dailyToken holders redeem at NAV

The custodian holds the underlying instruments; yield accrues to the token's net asset value; eligible holders redeem at NAV on the published schedule.

Key risks
  • Sovereign and credit risk: the instruments depend on the issuing government or bank meeting its obligations.
  • Interest rate risk: market rates move the value of the instruments and the target yield.
  • Currency risk: tokens denominated in TRY or another currency move against your home currency.
  • Liquidity and redemption timing: redemptions settle on the published schedule and secondary trading may be thin.
  • Smart contract risk: audited code can still contain defects; upgrades follow the published process.
  • Regulatory and tax risk: rules differ by jurisdiction and can change; tax treatment depends on your residence.
Full Risk Disclosure

Questions investors ask.

Each token represents a pro-rata interest in a portfolio of instruments, such as treasury bills or bank deposits, held by a named custodian for the issuer. The holdings table on every asset page lists the instruments, and monthly attestations confirm the reserves.
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