Seeding Phase — Invite OnlyRET Assets is currently completing registration and compliance onboarding. Portal access and the property catalogue are rolling out in stages. Seed participants receive access by invitation.

RET Token Utility Framework

Understanding the value and utility of RET tokens

RET Valuation (NAV per RET)

RET's official reference value is the platform's NAV per RET, calculated from the net asset value of the underlying portfolio (and/or reserves), minus fees/liabilities, divided by eligible circulating supply. DEX prices (if any) are not the reference valuation for issuance or redemption.

Token Utility

  • Portfolio Access:RET provides access to SPV-backed real estate portfolio positions (eligible accounts only).
  • Priority Allocation:RET holders receive priority access to new property allocations on the platform.
  • NAV Accretion:Portfolio income and appreciation are reflected in the platform's NAV per RET (and/or distributed per published terms).
  • Redemption (USDC):Eligible users can redeem RET for USDC via the platform at the Redemption NAV per RET, subject to redemption windows and policies.
  • Permissioned Transfers:RET transfers may be restricted to approved addresses for compliance and asset-protection.

Tokenomics

Total Supply

1,000,000 RET

Fixed, non-inflationary

Issue NAV per RET (Reference Rate)

$50,000

Initial reference NAV

Platform Fee

1%

Entry and exit

POL Allocation

≥40%

Multi-sig controlled

Note: RET is valued on-platform using NAV per RET. DEX interfaces may not display a reliable market price.

Value Proposition

Real-World Asset Backing

Each RET token is backed by real estate assets held in a regulated SPV structure.

Yield Generation

Rental income and portfolio cashflows are allocated according to published policy and are reflected in NAV per RET and/or distributed to eligible holders.

Transparency

NAV per RET reporting, reserve disclosures where applicable, and periodic third-party review/audit (as published).

Market Note: RET's reference value is NAV per RET, not thin-market DEX pricing.

Important Disclosures

  • • RET tokens represent positions in the platform portfolio and are subject to eligibility requirements.
  • • NAV per RET is calculated periodically and may not reflect real-time market conditions.
  • • Redemption is subject to availability, policies, and redemption windows as published.
  • • Past performance is not indicative of future results.