First full month with on-chain distribution proofs
All November distributions include a merkle-proof receipt in your dashboard. Exportable JSON for audit, executed within Day 1–5 window.
Short, high-signal updates across our markets and platform. No links. No noise. Just what matters.
All November distributions include a merkle-proof receipt in your dashboard. Exportable JSON for audit, executed within Day 1–5 window.
Treasury wallets rotated to new 3/5 multi-sig with geo-separated HSMs. Session keys shortened to 10 minutes. No action required from investors.
Yield capture is healthy into year-end events. Overflow is routed to monthly lets to reduce vacancy risk without yield drag.
Units encode lock-up term (6m/12m) and distribution preference, enabling automated compounding or cash-out routing per investor setting.
Selective disclosure keeps attestations on-chain while masking PII. Full rollout pending regulator review; current KYC remains mandatory.
Exit requests queue by NAV snapshot and execute in 7–15 days with the 25% penalty during lock-up. Positions reallocated to the waitlist automatically.
Shifted 12% of inventory to 6–12 month contracts to smooth Q4 cash flow while preserving headline targets.
New features include event proximity and airlift capacity signals in London and Dubai to optimise ADR without occupancy loss.
Portfolio aligned to the latest STR requirements. Listing IDs and licence metadata mirrored to on-chain references for verification.
Selective coliving layouts increased yield per sqm while keeping turnover frictions low via consolidated housekeeping schedules.
All sleeves align to the same monthly cadence. Choose auto-reinvest or route to wallet; update in Account → Preferences.
Realtime uptime and maintenance notices are now available in the dashboard. Post-mortems appear in the same stream for transparency.
Choose monthly payout to wallet or automatic reinvest. Choice is encoded into your unit token and can be amended before each month-end cutoff.
Listings, pricing, guest comms, and housekeeping schedules now run through one surface. SLA breaches trigger automated vendor routing.
ADR and occupancy exceeded plan; we’re smoothing excess yield into Q3–Q4 to keep monthly flows consistent with targets.
Centralised disclosures, country restrictions, and document lifecycle tracking are live. Accounts that fail refresh checks are paused until resolved.