Asset Issuer
Overview
Product manual for issuer submissions, controlled assets, NAV/feed context, messages, roles, and incidents.
Asset Issuer is the workspace for submitting and maintaining asset context. It covers asset submissions, controlled assets, NAV/feed context, messages, roles, and incidents without granting broad protocol control.
Exact asset submission, controlled asset setup, feed, and manager handoff fields are listed in Input Field Reference.
| Visible field | What the user enters or selects | What it is for |
|---|---|---|
Pricing Path | Choose signed NAV or live-feed pricing. | Sets the valuation route for the asset request. |
Cadence | Choose expected cadence for live-feed submissions. | Sets feed freshness expectation. |
Asset Symbol | Enter token or asset symbol. | Sets display symbol and review row symbol. |
Asset Name | Enter full asset name. | Sets display name and submission identity. |
Asset Token Address | Enter token contract address. | Sets token identity. |
Pricing Policy Notes | Enter valuation policy notes. | Adds pricing context to the submission. |
Asset Logo | Upload PNG, JPEG, or WebP logo where supported. | Adds asset branding context. |
Submission Context | Describe freshness, fallback handling, or operational context. | Adds issuer context for review. |
Oracle Provider | Choose an approved oracle/feed provider. | Sets live-feed validation path. |
Oracle Address | Enter feed or oracle address. | Links submission to a feed source. |
Requested NAV Reporters | Select one or more approved NAV reporters. | Routes signed-NAV request to selected reporters. |
Preferred Asset Manager | Choose the manager receiving the handoff. | Sets manager review route. |
Approved Asset Managers | Select allowed manager entities. | Restricts which managers can continue setup. |
NAV Reporter | Choose the reporter for NAV-based support where shown. | Assigns valuation responsibility. |
Reporting Currency Symbol | Enter reporting currency symbol. | Sets reported currency display unit. |
Reporting Currency Token Address | Enter reporting currency token address. | Sets reporting currency token identity. |
Reporting Decimals | Enter reporting decimals. | Sets decimal precision for reporting currency. |
Supports Ex-Post Adjustments | Toggle adjustment support. | Records whether revisions/adjustments are supported. |
Market Feed Provider | Choose market feed provider. | Sets live market-data source. |
Market Feed Reference | Enter feed reference. | Stores feed reference used by policy. |
NAV Supply Delta Soft % | Enter soft supply-delta percentage. | Sets soft review threshold. |
NAV Supply Delta Hard % | Enter hard supply-delta percentage. | Sets hard freeze threshold. |
Launch Price USD | Enter optional launch price. | Stores initial USD price context. |
Launch Price Trusted | Toggle trusted/untrusted launch price. | Marks whether launch price can be treated as trusted context. |
Report Type | Choose NAV or Price. | Selects signed NAV payload or explicit asset-price payload. |
Value | Enter reported NAV or price value. | Sets the signed valuation value. |
Decimals | Enter 1 to 18 decimals for price reports. | Sets decimal precision for price reports. |
Quote Token | Enter quote token address for price reports. | Sets quote asset. |
Final Report | Toggle final report on or off. | Marks whether a follow-up revision is expected. |
Valuation Start | Select reporting-period start time. | Sets start timestamp. |
Valuation As-Of | Select when reported value becomes valid. | Sets effective value timestamp. |
Signature Deadline | Select latest submission time. | Sets report signature deadline. |
Revision Of Round ID | Enter original round ID being revised. | Links revision to prior report. |
Revision Number | Enter revision sequence number. | Sets revision order. |
Proposed Cadence | Choose cadence when responding to an enquiry. | Proposes reporting cadence. |
Notes to Issuer | Enter optional operational note. | Adds reporter context. |
From | Choose eligible sender scope. | Sets sender identity and entity scope. |
Recipients | Select one or more target recipients or groups. | Sets message targets. |
Subject | Enter non-empty subject. | Sets message title. |
Body | Enter non-empty message body. | Sets message content. |
Message | Enter reply body. | Sets reply content. |
senderCompromised | No direct free-form input on the message detail. | Shows compromised-sender state. |
Expiry | Select or read expiry where surfaced. | Sets or shows message validity window. |
Name | Enter the saved team member or role display name. | Sets display metadata for the role row. |
Wallet Address | Enter a wallet address, usually beginning with 0x. | Sets or reviews the wallet bound to the role. |
Allow to be used as default for new vaults | Toggle on or off. | Marks whether this role can be prefilled on future vault creation. |
Role | No input in review. Read the role being edited. | Confirms which authority family is being changed. |
Action | No input in review. Read add, edit, or delete mode. | Shows the mutation being prepared. |
Wallet | No input in review. Read the reviewed wallet. | Confirms the target wallet. |
Confirm | Click after checking the role fields. | Submits role metadata or authority change. |
Close | Click to exit without saving. | Dismisses the role modal. |
Incident type | Select compromised wallet, asset safety, vault exposure, market risk, or status projection. | Classifies the incident report. |
Entity type | Select investor, vault, market, asset, or partner. | Identifies affected object family. |
Affected address, vault, market, or reference | Enter an address or reference ID. | Identifies the affected object. |
JSON summary: describe the incident evidence | Enter JSON or text evidence summary. | Records report evidence and context. |
Submit Report | Click after filling the incident fields and connecting a wallet. | Submits the stakeholder incident report. |
Search | Type report, status, type, role, or subject. | Filters incident report rows. |
Severity | Select or read severity where surfaced. | Classifies operational urgency. |
Status | Select or read report status. | Shows review stage. |
Timelock State | Read queued, executable, cancelled, expired, or invalid state. | Shows governed action status. |
Queue | Click where governed action queue is available. | Queues a sensitive action. |
Execute | Click after delay has passed and action is valid. | Executes a queued governed action. |
Cancel | Click where cancellation authority is available. | Cancels a queued action. |