Platform
Nousplatform’s user interface is a web interface that interacts with the clients’
Nousprotocol library, as well as with an API, which in turn interacts with the Nous Smart
Contract and Nousplatform database.
There are five primary categories of participants in the Nousplatform:
1. Fund Sponsor or General Manager.
2. Fund Manager or Portfolio Manager
3. Referring Agent or Investor Relations Manager
4. Investor or Beneficiary
5. Escrow Holder
Functions for Managers
A Fund Sponsor initiates registration on the Nousplatform and confirms the information
and data through a double authentication process. After the registration process is
confirmed and complete, the Fund Sponsor creates a Nous wallet and saves a private
key file. This Nous wallet address is later used for the publication of the smart contracts
of the fund. Then the Fund Sponsor deposits Nous tokens to the wallet to allow the
proposed fund to collaborate with the blockchain. The blockchain charges a small commission for any transaction related to the recording of information, so the Fund
Sponsor will need to pay a small fee to publish a smart contract for the fund. The Fund Sponsor then establishes the fund, inputs the data of the fund, the type of
fund, and the addresses of the Fund Sponsor’s Nous wallet. Thereafter, the
Nousprotocol published, on behalf of the Fund Sponsor, a smart contract on the
blockchain with all required settings. The smart contract also includes as necessary the
addresses of the Escrow smart contracts to handle different trust functions.
The next step is adding and verifying Nous wallets to create a portfolio. Verification is
necessary to prove the fund and ensure that the assets of investors will be stored in
these Nous wallets, and to confirm whether managers have their own equity shares in
those wallets. The Nousprotocol will use a variety of verification methods, depending on
the blockchain where the Nous wallets are stored. The simplest method of verification is
the transfer of micro sums or OP_RETURN transactions to the Nousprotocol verification
wallet. If the transaction proceeds successfully, then the protocol verifies the wallet of
the fund in a smart contract. Verification of the initial assets owned by the fund is one of the most important aspects,
since it is very important to understand—especially for hedge funds—what amount of
the assets at risk are owned by the fund. At the time of verification of the wallet, the
Nousprotocol reads the available balance and records it into a smart contract as the
initial capital of the fund.
Functions and Options of the Nousplatform for Investors
nvestors who register on the Nousplatform system
will get a personal account and back office. If the
investor passes “know your client” and
“anti-money-laundering” verification, the investor
then will receive access to a proprietary nous wallet,
into which the investor can deposit funds and store
Nous tokens. Investors can review the rating and
statistical data of each fund on the Nousplatform and
make a decision whether to invest or divest. Funds
are divided into categories and types. The investors
can analyze the activity of the fund for any period. The Nousprotocol forms the trust level of the fund,
an important factor affected by and associated with
the fund's activities. This will allow investors to make
more educated and informed decisions.
Investors can buy and sell equity shares of the fund
by moving NSU tokens into and out of fund offerings.
Investors wishing to divest can tender their equity shares back to the fund and get the
then-current value of their equity stake in NSU tokens in return. Closed-ended funds
use a different approach.
-Security of the assets: All assets purchased from funds established by the Nousprotocol
are stored in a “cold” wallet. Only holders of a private key have will have access to the
wallet opened by the private key. The same Nous wallet may be used to store all the
assets of a given investor.
-ICO participation: An investor can acquire the equity shares of a closed-ended fund
before it is listed on an exchange.
Referring Agent or Investor Relations Manager
The Referring Agent is an independent agent of the fund who is primarily responsible for
attracting new capital to a fund and who receives compensation for the services
provided. The Nousprotocol will support the Referring Agent’s functions via mechanisms
of compensation by the fund. Upon introduction of a new investor by a Referring Agent
and his or her admission as an investor to a fund, the protocol may also identify and
record the compensation to to the Referring Agent and allocate Nous tokens to the
Referring Agent’s wallet address.
Escrow
Within the Nousplatform system, we anticipating using escrow services to provide
security and peace of mind to all participants. Nous Escrow is a smart contract, which is responsible for creating snapshots of portfolio
balances, assigning a trust level to the fund, among other functions. Nous Escrow is an
internally generated and trusted service that has permission to carry out certain actions
with a fund’s smart contract. Moreover, we anticipate introducing third party providers
of escrow services to complement the security functionality of the Nous smart contract.
The Nousplatform can conduct voting among fund owners to add new escrow services
to the fund's smart contract.
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