Launch and manage real estate, funds, private credit, commodities, securities, and other tokenized assets from one platform. Ment Tech Labs helps you bring new offerings to market faster and add new asset classes without rebuilding your infrastructure every time.
See how the Multi-Asset Tokenization Platform brings asset setup, investor onboarding, token issuance, ownership records, distributions, and transfers into one connected system.
Move through different asset offerings, investor verification, subscription flows, portfolio holdings, payout activity, and transfer controls to see how multiple tokenized assets can be managed from issuance through the full lifecycle. The same infrastructure can support different asset structures without rebuilding the platform for every new offering.
Manage issuance, investors, payouts, transfers, and asset activity across multiple tokenized assets from one platform.
Set up each asset with its own token structure, pricing, supply, ownership terms, and investor conditions before launch.
Verify investors, collect required documents, apply eligibility rules, and control who can participate in each tokenized offering.
Issue and allocate tokens after approval while keeping investor holdings and ownership records connected to the right asset.
Manage rental income, interest, coupons, fund distributions, or revenue shares based on how each asset generates returns.
Set lock-ups, transfer conditions, investor restrictions, and approval rules to keep ownership changes controlled and traceable.
Handle repayments, maturity, buybacks, redemptions, and other events that happen throughout the life of a tokenized asset.
Track holdings, payouts, transactions, ownership changes, and asset activity from one place through ongoing token lifecycle management.
Our asset tokenization platform development supports different asset models within one system while keeping their rules, investors, and workflows separate.
7+ Years
Industry Experience
6 Asset Classes
Multi-Asset Coverage
8 Features
Asset Lifecycle Management
4 Models
Flexible Platform Setup
6-Step
Development Process
Launch tokenized property offerings with digital ownership records, investor access, income distributions, and transfer controls.
Handle subscriptions, investor holdings, NAV updates, distributions, and redemptions from one connected platform.
Manage digital debt positions with interest schedules, repayment tracking, maturity terms, and investor-level controls.
Digitize ownership while keeping shareholder rights, cap tables, distributions, and transfer restrictions easy to manage.
Support issuance, coupon payments, maturity events, investor records, and redemption workflows in one place.
Create tokenized offerings for commodities, infrastructure, intellectual property, and other eligible assets with rules tailored to how each asset works.
Choose between fully custom tokenization platform development or a configurable white-label tokenization platform, depending on how much control, customization, and existing infrastructure your business needs.
Bring new assets, issuers, and offerings to market faster with one tokenization platform built to grow with your business.
Our multi-asset tokenization development process begins with the asset model, the investor journey, and the operating rules. These elements are then transformed into a platform that can handle different offerings. The goal is to support offerings without making things more complicated than they need to be.
We define the assets you want to tokenize, how investors will participate, how returns will be distributed, and what each offering needs to support from day one.
We design the core structure for your Multi-Asset RWA Tokenization Platform, including issuer workflows, investor access, ownership records, payments, and asset-level controls.
Our asset tokenization development covers token logic, issuance, allocations, payouts, transfers, redemptions, and the workflows around each asset.
If you need a white-label tokenization platform, we adapt the branding, dashboards, asset models, and user journeys. For custom builds, the platform is developed around your own infrastructure and processes.
We connect wallets, custody, KYC/KYB, payments, banking systems, and other required tools, then test the complete flow before launch.
Once the first offerings are live, the platform can be extended with new asset classes, issuers, workflows, and integrations as the business grows.
A multi-asset tokenization platform lets you issue and manage different tokenized assets from one system, each with its own rules, payouts, and investor access.
You can support estate, you can support funds, you can support private credit, you can support private equity, you can support bonds, you can support treasuries, you can support commodities, and you can support other eligible tokenized assets.
The cost depends on asset types, integrations, compliance needs, smart contracts, and whether you choose custom or white-label tokenization platform development.
Timelines vary by scope. A white-label tokenization platform is usually faster to launch, while custom builds take longer due to added workflows and integrations.
White-label works well for faster launches. Custom asset tokenization development is better when you need unique workflows, integrations, token logic, or more platform control.
Yes. Each investment opportunity can have its own rules about who can invest, how much money can be moved, how long someone has to keep the investment, what needs to be approved, and what information needs to be shared.
It depends on transaction costs, token standards, privacy, scalability, interoperability, and the needs of your multi-asset tokenization development project.
Yes. It can integrate with KYC/KYB tools, custody providers, wallets, banking APIs, accounting systems, and a stablecoin payments platform.
Yes. The platform can handle payouts, transfers, repayments, redemptions, ownership updates, and reporting throughout the platform's asset lifecycle.