Share Token
NYALA Digital Asset AG - Vorzugsaktien
Total issuance amount
Open on Blockchain
Bond Token
Lindner Hotel Digital Invest 2024
EUR 3.000.000,00
Total issuance amount
View Terms of Issue Open on Blockchain
Token details
DE 000 A38 3GX9
ISIN Number
5.5 %
Interest rate
€ 250.00
Interest rate
01/01/2024
Date of Issuance
12/31/2029
Date of Maturity
Unser lizenziertes Krypto-Wertpapierregister

Registrieren Sie Ihre Wertpapiere mit NYALAs Smart Registry

Das Deutsche Gesetz über elektronische Wertpapiere (eWpG) erlaubt die Ausgabe von elektronischen Wertpapieren, indem klassische Märkte mit der Blockchain-Technologie kombiniert werden. Smart Registry wird von der BaFin (Bundesanstalt für Finanzdienstleistungsaufsicht) beaufsichtigt.

Smart Registry GmbH

Nachfolgend finden Sie eine Übersicht über die Eigenschaften des von der NYALA-Tochter Smart Registry GmbH geführten Krypto-Wertpapierregisters, die dort registrierten Wertpapiere sowie die aktuellen Emissionsbedingungen

Eigenschaften des Krypto-Wertpapierregisters

Das folgende Dokument beschreibt die Eigenschaften und den operativen Rahmen unseres Krypto-Wertpapierregisters nach deutschen Vorschriften.  Es erläutert die Fristen für die Finalität von Transaktionen auf der Blockchain und die Teilnahmekriterien

Authentifizierung der Emissionsbedingungen

Diese Schritt-für-Schritt-Anleitung (in englischer Sprache) erklärt, wie Sie überprüfen können, ob die auf unserer Website angezeigten Ausstellungsbedingungen immer die gültige und neueste Version sind.

Unsere registrierten Wertpapiere

Alle tokenisierten Wertpapiere, die bei Smart Registry registriert wurden, werden hier angezeigt.
00
registrierte tokenisierte Wertpapiere
Bond Token
Bond Token
Nook Genussschein 2025
EUR
253.500,00
Total issuance amount
Token details
DE000A41UJN1
ISIN
%
Interest rate
EUR
250
Token nominal value
Form
Class
April 20, 2026
Date of Issuance
Date of Maturity
Bond Token
Bond Token
Private Placement 7
EUR
1.500.000,00
Total issuance amount
Token details
ISIN
%
Interest rate
EUR
Token nominal value
Form
Class
April 11, 2026
Date of Issuance
Date of Maturity
Bond Token
Bond Token
Private Placement 8
EUR
344.600,00
Total issuance amount
Token details
ISIN
%
Interest rate
EUR
Token nominal value
Form
Class
April 3, 2026
Date of Issuance
Date of Maturity
Bond Token
Bond Token
BERLIN LIVING 1 Anleihe 2026/2031
EUR
8.000.000,00
Total issuance amount
Token details
DE000A4ATPD2
ISIN
8
%
Interest rate
EUR
1
Token nominal value
Form
Class
April 1, 2026
Date of Issuance
March 31, 2031
Date of Maturity
Bond Token
Bond Token
Bluespoon GmbH
EUR
688.000,00
Total issuance amount
Token details
DE000A46Z9H2
ISIN
8
%
Interest rate
EUR
250
Token nominal value
Form
Class
April 1, 2026
Date of Issuance
March 31, 2029
Date of Maturity
Bond Token
Bond Token
REPLOID Group AG
EUR
1.500.000,00
Total issuance amount
Token details
AT0000A3T3F3
ISIN
9,5
%
Interest rate
EUR
250
Token nominal value
Form
Class
March 31, 2026
Date of Issuance
March 31, 2031
Date of Maturity
Bond Token
Bond Token
Resonandina Holanda BV VIII
EUR
2.500.000,00
Total issuance amount
Token details
NL0015073VW6
ISIN
9,2
%
Interest rate
EUR
250
Token nominal value
Form
Class
March 23, 2026
Date of Issuance
March 30, 2030
Date of Maturity
Bond Token
Bond Token
HMW Mobility GmbH
EUR
127.750,00
Total issuance amount
Token details
AT0000A3QPY8
ISIN
%
Interest rate
EUR
250
Token nominal value
Form
Class
March 20, 2026
Date of Issuance
Date of Maturity
Bond Token
Bond Token
PROFEM2025
EUR
1.290.000,00
Total issuance amount
Token details
AT0000A3QA28
ISIN
8
%
Interest rate
EUR
500
Token nominal value
Form
Class
March 20, 2026
Date of Issuance
December 30, 2028
Date of Maturity
Bond Token
Bond Token
IIN Solutions
EUR
800.000,00
Total issuance amount
Token details
FI4000598925
ISIN
9
%
Interest rate
EUR
250
Token nominal value
Form
Class
March 11, 2026
Date of Issuance
February 22, 2030
Date of Maturity
Bond Token
Bond Token
SMG Genussschein
EUR
5.000.000,00
Total issuance amount
Token details
LU3019012676
ISIN
0
%
Interest rate
EUR
250
Token nominal value
Form
Class
March 4, 2026
Date of Issuance
December 31, 2035
Date of Maturity
Bond Token
Bond Token
CoBu Invest
EUR
8.000.000,00
Total issuance amount
Token details
DE000A46Z8W3
ISIN
7.5
%
Interest rate
EUR
100
Token nominal value
Form
Class
March 1, 2026
Date of Issuance
February 28, 2030
Date of Maturity
Bond Token
Bond Token
Eternal Power 2025
EUR
2.000.000,00
Total issuance amount
Token details
DE000A4DFU22
ISIN
9
%
Interest rate
EUR
1
Token nominal value
Form
Class
February 20, 2026
Date of Issuance
December 31, 2028
Date of Maturity
Share Token
Share Token
Crowd4Ukraine Stamm
58.861
Total issuance amount
Token details
DE000A418DA8
ISIN
%
Interest rate
Token nominal value
No-par-value
Form
StammAktien
Class
February 16, 2026
Date of Issuance
Date of Maturity
Bond Token
Bond Token
Der Solarteur GmbH
EUR
1.000.000,00
Total issuance amount
Token details
DE000A460E05
ISIN
8
%
Interest rate
EUR
250
Token nominal value
Form
Class
February 5, 2026
Date of Issuance
January 31, 2029
Date of Maturity
Bond Token
Bond Token
SpaceX Tokenized Bond
EUR
20.000.000,00
Total issuance amount
Token details
DE000A4ARGT1
ISIN
variable
%
Interest rate
EUR
1000
Token nominal value
Form
Class
January 31, 2026
Date of Issuance
January 31, 2029
Date of Maturity
Bond Token
Bond Token
Private Placement 6
EUR
1.400.000,00
Total issuance amount
Token details
ISIN
%
Interest rate
EUR
Token nominal value
Form
Class
January 29, 2026
Date of Issuance
Date of Maturity
Bond Token
Bond Token
Private Placement 5
EUR
700.000,00
Total issuance amount
Token details
ISIN
%
Interest rate
EUR
Token nominal value
Form
Class
January 29, 2026
Date of Issuance
Date of Maturity
Bond Token
Bond Token
Private Placement 4
EUR
1.300.000,00
Total issuance amount
Token details
ISIN
%
Interest rate
EUR
Token nominal value
Form
Class
January 29, 2026
Date of Issuance
Date of Maturity
Bond Token
Bond Token
Private Placement 3
EUR
2.000.000,00
Total issuance amount
Token details
ISIN
%
Interest rate
EUR
Token nominal value
Form
Class
January 29, 2026
Date of Issuance
Date of Maturity
Bond Token
Bond Token
Private Placement 2
EUR
350.000,00
Total issuance amount
Token details
ISIN
%
Interest rate
EUR
Token nominal value
Form
Class
January 29, 2026
Date of Issuance
Date of Maturity
Bond Token
Bond Token
BESS Wehr
EUR
1.220.000,00
Total issuance amount
Token details
DE000A460E13
ISIN
8
%
Interest rate
EUR
250
Token nominal value
Form
Class
January 21, 2026
Date of Issuance
December 30, 2031
Date of Maturity
Bond Token
Bond Token
Mayer family hotels GmbH - Familux Project SZ
EUR
4.303.000,00
Total issuance amount
Token details
AT0000A3MZW0
ISIN
8
%
Interest rate
EUR
1000
Token nominal value
Form
Class
January 15, 2026
Date of Issuance
December 31, 2030
Date of Maturity
Bond Token
Bond Token
Mayer family hotels GmbH - Familux Project GZ
EUR
566.000,00
Total issuance amount
Token details
AT0000A3MZV2
ISIN
5
%
Interest rate
EUR
1000
Token nominal value
Form
Class
January 15, 2026
Date of Issuance
December 30, 2030
Date of Maturity
Share Token
Share Token
ROATEL25
321.126,00
Total issuance amount
Token details
DE000A419P12
ISIN
%
Interest rate
Token nominal value
No-par-value shares
Form
Common stock
Class
December 31, 2025
Date of Issuance
Date of Maturity
Bond Token
Bond Token
Valorem Energies Finland 2
EUR
750.000,00
Total issuance amount
Token details
FI4000598065
ISIN
8
%
Interest rate
EUR
250
Token nominal value
Form
Class
December 29, 2025
Date of Issuance
December 7, 2028
Date of Maturity
Bond Token
Bond Token
GEG - Racconigi 125
EUR
248.160,00
Total issuance amount
Token details
DE000A4AQWU8
ISIN
%
Interest rate
EUR
94
Token nominal value
Form
Class
December 23, 2025
Date of Issuance
September 30, 2035
Date of Maturity
Bond Token
Bond Token
UKO Microshop Convertible SZ
EUR
27.750,00
Total issuance amount
Token details
AT0000A3LML3
ISIN
8,0
%
Interest rate
EUR
250
Token nominal value
Form
Class
November 20, 2025
Date of Issuance
December 31, 2030
Date of Maturity
Bond Token
Bond Token
UKO Microshops Convertible GZ
EUR
367.750,00
Total issuance amount
Token details
AT0000A3LMK5
ISIN
5,75
%
Interest rate
EUR
250
Token nominal value
Form
Class
November 20, 2025
Date of Issuance
December 31, 2030
Date of Maturity
Bond Token
Bond Token
HAKUMA Handels GmbH
EUR
401.500,00
Total issuance amount
Token details
AT0000A3LMF5
ISIN
%
Interest rate
EUR
250
Token nominal value
Form
Class
November 20, 2025
Date of Issuance
July 31, 2035
Date of Maturity
Bond Token
Bond Token
Immofanten Invest GmbH & Co. KG - KF8
550.000,00
Total issuance amount
Token details
DE000A4DFVK8
ISIN
%
Interest rate
1
Token nominal value
Form
Class
November 17, 2025
Date of Issuance
December 31, 2027
Date of Maturity
Bond Token
Bond Token
Immofanten Invest GmbH & Co. KG - KF9
EUR
2.200.000,00
Total issuance amount
Token details
DE000A4DFVL6
ISIN
%
Interest rate
EUR
1
Token nominal value
Form
Class
November 17, 2025
Date of Issuance
December 31, 2027
Date of Maturity
Bond Token
Bond Token
Trumer Bier GmbH - Trumer2025SZ
EUR
120.250,00
Total issuance amount
Token details
AT0000A3PGK8
ISIN
8
%
Interest rate
EUR
250
Token nominal value
Form
Class
November 16, 2025
Date of Issuance
October 31, 2034
Date of Maturity
Bond Token
Bond Token
OkiFin Digital Asset Performance Note
EUR
8.000.000,00
Total issuance amount
Token details
DE000A4APUV2
ISIN
variable
%
Interest rate
EUR
1000
Token nominal value
Form
Class
November 15, 2025
Date of Issuance
November 14, 2027
Date of Maturity
Bond Token
Bond Token
Ginolis Oy
EUR
800.000,00
Total issuance amount
Token details
FI4000595707
ISIN
9.5
%
Interest rate
EUR
250
Token nominal value
Form
Class
November 11, 2025
Date of Issuance
November 11, 2029
Date of Maturity
Bond Token
Bond Token
FOX ON Energy 5 GmbH & Co. KG
EUR
2.950.000,00
Total issuance amount
Token details
DE000A460BN7
ISIN
7
%
Interest rate
EUR
250
Token nominal value
Form
Class
November 6, 2025
Date of Issuance
April 30, 2027
Date of Maturity
Bond Token
Bond Token
Rainmaker Holding BV
EUR
1.500.000,00
Total issuance amount
Token details
NL0015002PA3
ISIN
8,75
%
Interest rate
EUR
250
Token nominal value
Form
Class
November 5, 2025
Date of Issuance
October 19, 2030
Date of Maturity
Bond Token
Bond Token
GEG - Cigna 35
EUR
129.720,00
Total issuance amount
Token details
DE000A460CE4
ISIN
%
Interest rate
EUR
94
Token nominal value
Form
Class
October 31, 2025
Date of Issuance
September 30, 2035
Date of Maturity
Bond Token
Bond Token
Fountain Fuel Station Amersfoort B.V.
EUR
1.663.500,00
Total issuance amount
Token details
NL0015002OF5
ISIN
8.5
%
Interest rate
EUR
250
Token nominal value
Form
Class
October 29, 2025
Date of Issuance
April 12, 2031
Date of Maturity
Bond Token
Bond Token
Resonandina Holanda BV VII
EUR
2.500.000,00
Total issuance amount
Token details
NL0015002NI1
ISIN
9,2
%
Interest rate
EUR
250
Token nominal value
Form
Class
October 10, 2025
Date of Issuance
September 28, 2031
Date of Maturity
Bond Token
Bond Token
Private Placement 1
EUR
500.000,00
Total issuance amount
Token details
ISIN
%
Interest rate
EUR
Token nominal value
Form
Class
September 22, 2025
Date of Issuance
Date of Maturity
Bond Token
Bond Token
Peel Pioneers B.V. II
EUR
467.500,00
Total issuance amount
Token details
NL0015002KN7
ISIN
10
%
Interest rate
EUR
250
Token nominal value
Form
Class
September 15, 2025
Date of Issuance
April 30, 2029
Date of Maturity
Bond Token
Bond Token
MyGym2025SZ
EUR
289.750,00
Total issuance amount
Token details
AT0000A3KR41
ISIN
9,0
%
Interest rate
EUR
250
Token nominal value
Form
Class
September 14, 2025
Date of Issuance
June 30, 2030
Date of Maturity
Bond Token
Bond Token
MyGym2025GZ
EUR
313.750,00
Total issuance amount
Token details
AT0000A3KR58
ISIN
6,5
%
Interest rate
EUR
250
Token nominal value
Form
Class
September 14, 2025
Date of Issuance
June 30, 2030
Date of Maturity
Bond Token
Bond Token
Pure Power II B.V.
EUR
1.500.000,00
Total issuance amount
Token details
NL0015002MD4
ISIN
7
%
Interest rate
EUR
250
Token nominal value
Form
Class
August 26, 2025
Date of Issuance
September 7, 2029
Date of Maturity
Bond Token
Bond Token
Purpel Energy Projekt 1 Holding GmbH and Co. KG
EUR
950.000,00
Total issuance amount
Token details
DE000A4DFKA2
ISIN
7,5
%
Interest rate
EUR
250
Token nominal value
Form
Class
August 21, 2025
Date of Issuance
September 29, 2027
Date of Maturity
Bond Token
Bond Token
KF Immo 2 GmbH & Co. KG - KF7
EUR
500.000,00
Total issuance amount
Token details
DE000A4AN278
ISIN
%
Interest rate
EUR
1
Token nominal value
Form
Class
August 1, 2025
Date of Issuance
December 31, 2027
Date of Maturity
Bond Token
Bond Token
Sommalife Impact Group BV I
EUR
1.752.250,00
Total issuance amount
Token details
NL0015002JE8
ISIN
9,0
%
Interest rate
EUR
250
Token nominal value
Form
Class
July 21, 2025
Date of Issuance
July 14, 2030
Date of Maturity

In nur wenigen Tagen mit der Tokenisierung beginnen

1

Mit NYALA integrieren

Verbinden Sie Ihre bestehende Plattform und Schnittstelle mit NYALAs Tokenisierungs-Engine via API für eine problemlose Einrichtung oder nutzen Sie unser Webportal.

2

Onboarding automatisieren

Optimieren Sie den Onboarding-Prozess für Investoren mit automatisierten Wallet-Eröffnungen.

3

Token ausgeben

Geben Sie Token über unsere Web-App oder API an Investoren aus, um den manuellen Aufwand zu minimieren.

Entdecken Sie die Lösungen von NYALA für Ihre Anforderungen

Vereinbaren Sie einen Termin mit unserem Experten.

A photo of Carlos Ficola

Carlos Ficola

Product Manager
c.ficola@nyala.de