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

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.