Access diversified pools of vetted SaaS subscription contracts with fixed-income-like duration and yield — priced in real time by our model, serviced on regulated rails.
Software companies produce some of the most predictable cash flows in the modern economy. We isolate that stream and make it tradable.
Deploy into a growing, uncorrelated cash-flow strategy with weekly allocation windows.
Access private software revenue with fixed-income-like risk and transparent servicing.
Package pools into wrappers with contract-level reporting and audit trails.
Every pool is structured as an RWA-ready, tokenizable asset. SaaSFutures enables distribution to secondary markets and broker-dealer networks, giving investors pathways to liquidity beyond the primary allocation.
Pools are built for tokenization from day one, with standardized contract-level data and legal wrappers.
RWA-backed pools can be distributed to secondary markets, liquidity providers, and institutional buyers.
Continuous asset-level reporting supports mark-to-market pricing and faster settlement between holders.
Available today to qualified purchasers and eligible institutional investors.