Markets
Private credit markets
Unified view of all senior note unit markets. Select an exposure, then allocate directly from the row or open the full pool detail.
Live reporting feed · refresh 09:30 UTC
Primary = subscribe at the $1.00 launch price while capacity is open. Secondary = trade existing units peer-to-peer at a premium/discount to ACV. Special Pools fund a single named lender under each parent pool. Each market is deployed to multiple chains — pick your settlement chain when you allocate. Read the full explainer →
Multi-chain issuance Cantonsettles in USDCxBasesettles in USDCEthereumsettles in USDC
Markets
6
3 active
Reference Debt
$482.7M
Indicative across all pools
Avg Bid / Ask
30 bps
Active pools
Next Valuation
27 Jun
Official redemption date
Market
Rating
Yield
ACV
24h
Bid / Ask
Chains
Capacity
Action
Indicative rates and ACV are reference values. The Official Redemption Amount is determined at the relevant settlement date and may differ. Access is compliance-gated and subject to product-specific checks.