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Asset IssuerAsset Submissions

Asset Submissions

Asset Issuer manual for metadata, token identity, pricing context, NAV/feed handoff, manager handoff, and submission status.

Asset Submissions collect issuer-provided asset context for review. They capture metadata, token identity, pricing context, NAV/feed handoff, manager handoff, and submission status before any listing decision.

Visible fieldWhat the user enters or selectsWhat it is for
Pricing PathChoose signed NAV or live-feed pricing.Sets the valuation route for the asset request.
CadenceChoose expected cadence for live-feed submissions.Sets feed freshness expectation.
Asset SymbolEnter token or asset symbol.Sets display symbol and review row symbol.
Asset NameEnter full asset name.Sets display name and submission identity.
Asset Token AddressEnter token contract address.Sets token identity.
Pricing Policy NotesEnter valuation policy notes.Adds pricing context to the submission.
Asset LogoUpload PNG, JPEG, or WebP logo where supported.Adds asset branding context.
Submission ContextDescribe freshness, fallback handling, or operational context.Adds issuer context for review.
Oracle ProviderChoose an approved oracle/feed provider.Sets live-feed validation path.
Oracle AddressEnter feed or oracle address.Links submission to a feed source.
Requested NAV ReportersSelect one or more approved NAV reporters.Routes signed-NAV request to selected reporters.
Preferred Asset ManagerChoose the manager receiving the handoff.Sets manager review route.
Approved Asset ManagersSelect allowed manager entities.Restricts which managers can continue setup.