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Assets, transparency documents, insights, legal pages and glossary terms. The index leaves out internal pages.
83 results
Assets
Target yield is variable, not guaranteed and shown net of fees. NAV and audit status on the asset page.
Turkish Lira Deposit Yield Token (cnTRYD)Target yield is variable, not guaranteed and shown net of fees. NAV and audit status on the asset page.
US Treasury Bill Token (cnUSTB)Target yield is variable, not guaranteed and shown net of fees. NAV and audit status on the asset page.
Documents
Code audit · 02 Sep 2026 · checksum 9f2a41c8. Scope: token contract, access controls, upgrade path, reserve logic. Result: [Findings summary]. The contract cannot mint beyond the reserve recorded by the oracle.
cnTRYB financial auditFinancial audit · 28 Aug 2026 · checksum 4c77be10. Scope: financial statements of the issuer, authority to issue, custody arrangement, existence of the underlying treasury bills held at [Custodian].
Reserve attestation, August 2026Attestation · 05 Sep 2026 · checksum b61d0af3. Reserves held against outstanding supply on 31 Aug 2026. Reserve ratio [figure] percent. Method: custody confirmations and bank statements compared with on-chain supply.
Reserve attestation, July 2026Attestation · 06 Aug 2026 · checksum de0915c2. Reserves held against outstanding supply on 31 Jul 2026. Reserve ratio [figure] percent.
Proof of reserve methodMethod · 12 Jul 2026 · checksum 77aa31e9. How reserves, supply and ratio are read, how often, and what happens when a feed is older than 24 hours: the last value is kept and marked stale.
Dual Audit Standard, version 2Standard · 30 Jun 2026 · checksum 15c4d780. No asset is minted before a code audit and a financial audit are published. Defines scope, who may perform each audit, the repeat cycle and what is published.
Legal structure summaryStructure · 18 Jun 2026 · checksum 2b93ef54. Issuer [Entity name] in [Jurisdiction], asset vehicle per programme, custody with [Custodian]. Separation of the asset pool from the operating company. [Regulatory status statement: to be confirmed by counsel]
Eligibility and restricted countriesPolicy · 01 Sep 2026 · checksum a0f7c631. Who may hold each token by residence and investor status, the documents checked at onboarding, and the restricted country list: [Restricted country list].
Security and disclosure policyPolicy · 22 Aug 2026 · checksum c38e5b27. Key management, signing thresholds, the coordinated disclosure process and the incident history: [Incident history].
Redemption and settlement termsTerms · 01 Sep 2026 · checksum e5410dd9. Redemption is priced at NAV on the settlement date. Window [figure] business days, cut-off [figure], fee [figure]. Availability depends on your jurisdiction and investor status.
Insights
Where the yield on a tokenized bill comes from, how it reaches the token and what net of fees means.
What the Dual Audit Standard checksThe on-chain and off-chain audits paired by the question each one answers, and what neither one covers.
Turkish treasury bills for global investorsHow lira-denominated bills work for a non-resident holder, where the assets sit, and which risks dominate.
Pages
Tokenized real-world yield, audited twice before it is minted.
MarketsEvery tokenized asset with target yield, NAV and audit status.
Center LaunchCompliant public offerings for institutions.
Center MintIssue a fully reserved stablecoin with published attestations.
Center SwapExchange tokens on CenterChain.
Center BridgeMove assets between chains.
Center StudioCreate and manage tokens.
InstitutionsTreasury, custody and reporting for institutional holders.
TransparencyReports, reserves and the standard behind them.
Dual Audit StandardWhat both audits must cover before an asset is minted.
Proof of reserveReserves, supply and ratio with the time they were read.
AttestationsPeriod reports with firm, file and checksum.
AuditsCode and financial audit reports per asset.
SecurityKey management, disclosure policy and incident history.
Legal structureIssuer, vehicle, custodian and governing documents.
ComplianceIdentity checks, screening and monitoring.
DevelopersContracts, endpoints and the route to CenterChain.
InsightsResearch, guides and market notes.
AboutWho builds CenterNetwork and how it is governed.
ContactTalk to the team about an allocation or an integration.
GlossaryEvery term used on this site, defined in one sentence.
SearchSearch assets, documents, insights and legal pages.
Legal
The agreement between a holder and CenterNetwork.
Privacy policyWhat is collected, why, and for how long.
Risk disclosureThe risks that apply to tokenized real-world assets.
EligibilityWho may hold which token, and the restricted countries.
Regulatory status[Regulatory status statement: to be confirmed by counsel]
CookiesWhat is stored on a device and how to refuse it.
Glossary
A report in which an accounting firm states whether the reserves behind a token match the published figures on a given date.
AuditAn independent examination of financial statements or code that ends in a written opinion from the firm that performed it.
Dual Audit StandardThe CenterNetwork rule that no asset is minted before both a code audit and a financial audit are published.
Verified twiceThe badge shown on an asset that has both a published code audit and a published financial audit.
Proof of reserveA published comparison of the reserves held against a token and the supply of that token, with the time it was read.
Reserve ratioReserves divided by token supply, expressed as a percentage, read at a stated time.
Net asset valueThe value of one token calculated from the assets behind it, less fees and liabilities, at a stated time.
Target yieldThe annualised return an asset aims to produce, before it happens, shown net of fees.
Yield to maturityThe return a bill or bond produces if it is held to its maturity date and pays as scheduled.
Net of feesA figure shown after the management and operating fees of the product have been deducted.
Treasury billA short-dated government debt instrument sold at a discount and repaid at face value on its maturity date.
Bank depositMoney placed with a bank under an agreement that sets the rate, the term and the conditions for withdrawal.
TokenizationRepresenting a real-world asset as a transferable token on a public network, with rights and records defined off chain.
Special purpose vehicleA separate legal entity created to hold one pool of assets and nothing else.
Bankruptcy remotenessA structure intended to keep an asset pool separate if the operating company fails.
IssuerThe entity that creates a token and owes the obligations described in its terms.
CustodianA firm whose business is holding assets for others, named in the documents and examined in the financial audit.
RedemptionExchanging a token back for its value in cash or the underlying asset under the published schedule.
SettlementThe moment a transfer becomes final and the records of both sides agree.
FinalityThe point at which a transaction can no longer be reversed by the network.
CenterChainThe public Layer-1 network that CenterNetwork builds on, open to anyone who wants to use or validate it.
ValidatorAn operator that proposes and verifies blocks on CenterChain and stakes the network asset to do so.
StakingLocking the network asset to support validation, with rewards and penalties defined by the protocol.
Network feeThe fee paid to the network for including and executing a transaction, priced in the network asset.
StablecoinA token designed to hold a steady value against a reference currency, backed by reserves held for that purpose.
Smart contractCode deployed to a network that executes rules automatically when it receives a transaction.
EligibilityThe test that decides whether a person or an institution may hold a given token in a given country.
Know your customerThe identity and source-of-funds checks a business performs before it opens an account.
Anti-money launderingThe controls a business runs to detect and prevent the use of its products for laundering money.
Sanctions screeningChecking a person or entity against published lists of restricted parties before and during a relationship.
Restricted countryA country whose residents cannot hold a given token because of law, sanctions or the terms of the offering.
Professional investorAn investor who meets a legal threshold of wealth, income or experience and may access offerings closed to others.
OfferingA defined sale of a token or security, with a size, a price, a window and a set of eligible investors.
Counterparty riskThe risk that the other side of an arrangement fails to do what it agreed to do.
Sovereign riskThe risk that a government does not meet the obligations of the debt it has issued.
Currency riskThe risk that moves in an exchange rate change what a holding is worth in the holder currency.
LiquidityHow quickly a holding can be turned into cash without moving its price.
ChecksumA short fingerprint of a file that changes if a single byte of the file changes.
As-of timeThe time a figure was read from its source, shown beside the figure.