Launch and manage RWA investment platforms with multi-chain token issuance, investor onboarding, wallet infrastructure, and secondary market access.
AzlankHamis Capital is a complete capital-markets stack for tokenizing real assets. Issue an exchange-ready public token, distribute yield to a separate investor token, and let approved investors trade allocations on a controlled secondary marketplace. Built for institutions. Designed for investors.
A clean separation between exchange liquidity and investor yield.
The platform issues two complementary tokens for every project. The public token brings liquidity and listing flexibility. The investor token represents the underlying economic interest and distributes scheduled yield to verified holders.
A freely transferable token built for listing on centralized and decentralized exchanges. Used for broader liquidity, treasury operations, ecosystem incentives, and price discovery.
- ERC-20 and SPL standards across supported chains
- Listing-ready supply, vesting, and treasury controls
- Optional bridging across Ethereum, Polygon, BNB, Solana
- Transparent on-chain governance hooks
Permissioned token representing the underlying economic claim on the asset. Holders receive monthly, quarterly, or yearly distributions and can resell allocations on the controlled secondary market.
- Permissioned transfers limited to KYC-verified holders
- Monthly, quarterly, or yearly yield distribution schedules
- Resellable on the platform secondary marketplace
- Per-jurisdiction Reg D and Reg S tranching
Issuers choose the token model, distribution frequency, and chain on a per-project basis with no template lock-in.
Identity, accreditation, and transfer restrictions enforced at the protocol layer rather than the UI alone.
Reporting, NAV publication, custody integrations, and audit-ready event streams included.
Issue on the chain that fits your investor base.
The platform is chain-agnostic at the contract layer, so issuers can deploy to one or several networks per offering without changing the user experience.
Institutional default. Deepest liquidity, broadest custodian support, and the strongest issuer credibility.
Low-fee scaling for high-frequency yield distributions and large investor bases.
Fast settlement and cost-efficient minting, suitable for retail-accredited investor flows.
High throughput for tokenized portfolios that require frequent on-chain accounting events.
A complete capital markets stack out of the box.
Every module is composable and can be enabled per offering. Issuers and operators get a unified console; investors get a clean, finance-grade interface.
Configure dual-token offerings, supply schedules, and chain selection per project.
Platform-managed wallets plus MetaMask, WalletConnect, Trust, and Phantom for self-custody users.
Identity verification, accreditation, and per-jurisdiction tranche routing.
Monthly, quarterly, or yearly automated distributions with on-chain receipts and reporting.
Permissioned resale of investor tokens with order book and price-discovery controls.
Document review, sanctions screening, and audit trail across the full investor lifecycle.
Unified issuer console with per-chain configuration, RPCs, and gas controls.
Treasury operations, vesting controls, and integrations with regulated custodians.
Built for issuers. Designed for investors.
One platform delivers the operational reliability issuers need and the clarity, control, and transparency investors expect from a serious capital partner.
- Tokenize and structure offerings with full control over tranching, vesting, and supply
- Distribute yield across chains with one console and one reporting layer
- Onboard investors with built-in KYC, accreditation, and compliance review
- Open a controlled secondary market without operational overhead
- White-label option with your branding, jurisdiction, and disclosures
- Discover institutional-grade RWA offerings in one place
- Hold positions in self-custody or use the platform wallet
- Receive yield distributions on a clear monthly, quarterly, or yearly schedule
- Resell allocations on the secondary market with transparent pricing
- Reporting, tax, and statement-ready records on every position
From structuring to secondary in four clear steps.
The product flow is intentional and consistent across asset classes, so issuers and investors always know exactly what comes next.
Issuer defines the asset, capital target, token model, distribution schedule, and chain. Compliance configures jurisdiction logic.
Investors verify identity, accreditation, and connect either their own wallet or a platform-managed wallet.
Investor tokens are minted to verified holders. Yield is distributed automatically on the configured schedule.
Approved investors can resell on the controlled secondary marketplace, while the issuer continues monthly reporting.
Built for the asset classes that drive private markets.
The platform is asset-agnostic, but ships with structured tooling for the categories institutional investors most want exposure to.