Tokenised assets

Fractional exposure to validated science, with legal backing.

Two instruments issued on the Nexus infrastructure: AURA, the cash-flow layer built on royalty contracts, and NXST, the index layer over the admitted portfolio.

Connect your Solana wallet to use this area with your own on-chain account.

AURA

Aura Finance Token

Turns illiquid, long-dated royalty contracts into fractional, transferable exposure — the cash-flow layer of the exchange.

Simulated reference price

US$ 0.0147

Illustrative only — no live market

Market cap

Under evaluation

Published once the token trades; market cap is not an asset valuation.

Total supply

500,000,000

Network

Base (Ethereum L2)

Standard

ERC-20

Backing

A contractual basket of royalty streams from licensed AXIOM assets, held by an SPV with quarterly audited reconciliation.

Holder rights

  • Pro rata distribution of net royalty receipts
  • Quarterly backing attestation and reserve report
  • Redemption window against the SPV reserve
  • No voting rights over scientific assets

Allocation

Royalty basket reserve46%
Public offering24%
Strategic partners14%
Liquidity provision10%
Treasury & compliance6%

Issuance roadmap

  1. Q3

    SPV constituted, first two royalty contracts assigned

  2. Q4

    Independent backing audit and public attestation

  3. Q1

    Continuous book opens to qualified investors

  4. Q2

    First distribution cycle to holders of record

NXST

Nexus Science Token

One instrument for diversified exposure to the whole exchange instead of a single asset — the index layer of the platform.

Simulated reference price

US$ 0.0921

Illustrative only — no live market

Market cap

Under evaluation

Published once the token trades; market cap is not an asset valuation.

Total supply

250,000,000

Network

Base (Ethereum L2)

Standard

ERC-20

Backing

Index exposure to the admitted portfolio: a weighted claim on the economic results of validated assets above TRL 5, custodied by the Nexus registry.

Holder rights

  • Weighted participation in portfolio economic results
  • Quarterly index rebalancing disclosure
  • Consultative vote on admission criteria
  • Priority allocation in new asset offerings

Allocation

Portfolio backing pool52%
Institutional placement20%
ICT & researcher pool12%
Liquidity provision9%
Treasury & compliance7%

Issuance roadmap

  1. Q3

    Index methodology and admission rulebook published

  2. Q4

    Six assets admitted with independent valuations

  3. Q1

    On-chain registry mirrored to legal custody

  4. Q2

    First rebalancing and disclosure cycle

Disclosure

Conditions of access.

Qualified investors only

Access to token books requires completed KYC/KYB, suitability assessment and a signed risk disclosure.

Audited backing

Token supply is reconciled quarterly against contractual backing by an independent auditor, with public attestation.

Not an offer

Figures shown are illustrative references. No content here constitutes an offer, solicitation or investment recommendation.