Intelligence
Operational intelligence across assets, investors and settlement rails.
This is an internal control view, not public market data. Every number here is derived from the same evidence record the consoles write to, which is why it can be reconciled rather than merely reported.
Position
Across 5 programmes, 4 exemptions
91% accredited entities
Trailing 30 days
2 over SLA
Committed capital by programme
One measure, one scale. Bars are read against the largest programme; exact figures are on the right and in the table below.
Settlement instructions by state
Trailing 30 days, 179 instructions. State colours are the reserved status palette used across every console — each segment is labelled, never colour alone.
Table view
Every chart on this page has one. A chart nobody can check is decoration.
| Programme | Structure | Committed | Share | State |
|---|---|---|---|---|
| OFF-114 | Reg D 506(c) · private credit | 18,400,000 | 39.7% | Distributing |
| OFF-109 | Reg D 506(b) · real estate equity | 12,250,000 | 26.5% | Distributing |
| OFF-118 | Reg A+ Tier 2 · infrastructure | 8,900,000 | 19.2% | In market |
| OFF-121 | Reg S · offshore credit | 4,600,000 | 9.9% | In market |
| OFF-103 | Reg D 506(b) · equipment finance | 2,150,000 | 4.6% | Wound down |
Where these numbers come from
Committed capital is the sum of allocated positions on the cap table at OPS-03.06. Settlement counts are ledger entries at OPS-04.05. Exceptions are open tickets from OPS-04.04 and OPS-06.02. None of it is a separate analytics store — the numbers and the audit trail are the same record, so an examiner can walk from any figure here to the individual approvals underneath it.