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Our licenced crypto securities registry Crypto securities registry

The German Electronic Securities Act (eWpG) allows the issuance of electronic securities, combining the world of the classical markets with blockchain technology.
Crypto securities registrars are supervised by BaFin (Federal Financial Supervisory Authority).

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Smart Registry GmbH

Below you can find an overview of the properties of the crypto securities registry maintained by NYALA subsidiary Smart Registry GmbH, the securities which have been registered with it as well as the most recent terms of issuance.

Properties of the Crypto Securities Registry

Authenticate the Terms of Issue

 

Lindner Hotel Digital Invest 2024

Bonds
Type
EUR 3.000.000,00
Total issuance amount
5.5%
Interest Rate
EUR 250
Token nominal value
November 1, 2024
Date of Issuance
October 31, 2029
Date of Maturity
DE000A383GX9
ISIN

Rapid InvesTor 2.0 – 10 Jahre Voucher

Bonds
Type
EUR 2.500.000,00
Total issuance amount
8.5%
Interest Rate
EUR 250
Token nominal value
October 21, 2024
Date of Issuance
June 30, 2034
Date of Maturity
AT0000A3CSP0
ISIN

Rapid InvesTor 2.0 – 10 Jahre Cash

Bonds
Type
EUR 2.500.000,00
Total issuance amount
6.0%
Interest Rate
EUR 250
Token nominal value
October 21, 2024
Date of Issuance
June 30, 2034
Date of Maturity
AT0000A3CSN5
ISIN

Rapid InvesTor 2.0 - 5 Jahre Voucher

Bonds
Type
EUR 2.500.000,00
Total issuance amount
7.5%
Interest Rate
EUR 250
Token nominal value
October 21, 2024
Date of Issuance
June 30, 2029
Date of Maturity
AT0000A3CSM7
ISIN

Rapid InvesTor 2.0 - 5 Jahre Cash

Bonds
Type
EUR 2.500.000,00
Total issuance amount
5.0%
Interest Rate
EUR 250
Token nominal value
October 21, 2024
Date of Issuance
June 30, 2029
Date of Maturity
AT0000A3CSL9
ISIN

DFI Real Estate 4. GmbH & Co. KG

Bonds
Type
EUR 1.000.000,00
Total issuance amount
7.3%
Interest Rate
EUR 250
Token nominal value
September 4, 2024
Date of Issuance
August 28, 2025
Date of Maturity
DE000A383KB7
ISIN

coinIX COINVEST InvAG m. TGV

Shares
Type
29.457,55
Total issuance amount
No-par-value shares
Form
TGV coinIX COINVEST SCI1
Class
August 30, 2024
Date of Issuance
DE000A408Q55
ISIN

Hans im Glück Franchise GmbH

Bonds
Type
EUR 1.423.500,00
Total issuance amount
7.0%
Interest Rate
EUR 250
Token nominal value
July 23, 2024
Date of Issuance
July 16, 2028
Date of Maturity
DE000A383JR5
ISIN

Zlaim Gütl Errichtungs GmbH - Voucher

Bonds
Type
EUR 41.250,00
Total issuance amount
12.0 %
Interest Rate
EUR 250
Token nominal value
July 16, 2024
Date of Issuance
July 16, 2029
Date of Maturity
AT0000A3DBZ3
ISIN

Zlaim Gütl Errichtungs GmbH - Cash

Bonds
Type
EUR 881.250,00
Total issuance amount
8.0%
Interest Rate
EUR 250
Token nominal value
July 16, 2024
Date of Issuance
July 16, 2029
Date of Maturity
AT0000A3DBY6
ISIN

Wohnen I Portfolio-Token GmbH

Bonds
Type
EUR 8.000.000,00
Total issuance amount
Variable
Interest Rate
EUR 1000
Token nominal value
July 1, 2024
Date of Issuance
December 31, 2030
Date of Maturity
DE000A383QP4
ISIN

VILA Capital GmbH - VILA Immobilien Deutschland 2

Bonds
Type
EUR 8.000.000,00
Total issuance amount
7.0%
Interest Rate
EUR 1000
Token nominal value
June 1, 2024
Date of Issuance
December 31, 2029
Date of Maturity
DE000A383EV8
ISIN

VILA Capital GmbH - VILA Immobilien Deutschland 1

Bonds
Type
EUR 10.000.000,00
Total issuance amount
8.0%
Interest Rate
EUR 1000
Token nominal value
June 1, 2024
Date of Issuance
December 31, 2029
Date of Maturity
DE000A383EU0
ISIN

Luchs AG

Bonds
Type
EUR 102.250,00
Total issuance amount
9.0 %
Interest Rate
EUR 250
Token nominal value
May 10, 2024
Date of Issuance
March 25, 2029
Date of Maturity
DE000A3512X0
ISIN

Rot-Weiß-Oberhausen Fußball GmbH

Bonds
Type
EUR 384.500,00
Total issuance amount
4.0%
Interest Rate
EUR 250
Token nominal value
May 3, 2024
Date of Issuance
July 14, 2031
Date of Maturity
DE000A3512W2
ISIN

Degag Direkt GmbH - Degag Klassik 3Y Bond 2027

Bonds
Type
EUR 8.000.000,00
Total issuance amount
7,65%
Interest Rate
EUR 1000
Token nominal value
April 1, 2024
Date of Issuance
March 31, 2027
Date of Maturity
DE000A3828V4
ISIN

Zlaim Gütl Errichtungs GmbH - Gutschein

Bonds
Type
EUR 34.250,00
Total issuance amount
12.0 %
Interest Rate
EUR 250
Token nominal value
March 13, 2024
Date of Issuance
March 13, 2029
Date of Maturity
AT0000A39UN4
ISIN

Zlaim Gütl Errichtungs GmbH - Geldzins

Bonds
Type
EUR 429.250,00
Total issuance amount
8.0 %
Interest Rate
EUR 250
Token nominal value
March 13, 2024
Date of Issuance
March 13, 2029
Date of Maturity
AT0000A39UP9
ISIN

NYALA Digital Asset AG - Vorzugsaktien

Shares
Type
219.610
Total issuance amount
No-par-value shares
Form
Serie A Vorzugsaktien
Class
January 29, 2024
Date of Issuance
DE000A3EX2W9
ISIN

NYALA Digital Asset AG - Stammaktien

Shares
Type
111.596
Total issuance amount
No-par-value shares
Form
Stammaktien
Class
January 29, 2024
Date of Issuance
DE000A3EX2V1
ISIN

Luchs AG

Bonds
Type
EUR 354.250,00
Total issuance amount
9.0 %
Interest Rate
EUR 250
Token nominal value
November 1, 2023
Date of Issuance
November 1, 2028
Date of Maturity
DE000A351VL0
ISIN

Vica Pota Energie GmbH & Co. KG

Bonds
Type
EUR 363.000,00
Total issuance amount
6.0 %
Interest Rate
EUR 250
Token nominal value
October 10, 2023
Date of Issuance
October 10, 2028
Date of Maturity
DE000A351YR1
ISIN

Störtebeker Brennerei GmbH - Sachzins

Bonds
Type
EUR 71.000,00
Total issuance amount
6.0 %
Interest Rate
EUR 250
Token nominal value
October 9, 2023
Date of Issuance
October 9, 2027
Date of Maturity
DE000A351ZW8
ISIN

Störtebeker Brennerei GmbH - Geldzins

Bonds
Type
EUR 407.500,00
Total issuance amount
6.0 %
Interest Rate
EUR 250
Token nominal value
October 9, 2023
Date of Issuance
October 9, 2027
Date of Maturity
DE000A3E5Y85
ISIN

Beets & Roots GmbH

Bonds
Type
EUR 727.500,00
Total issuance amount
10.0 %
Interest Rate
EUR 250
Token nominal value
July 20, 2023
Date of Issuance
July 20, 2027
Date of Maturity
DE000A351NZ7
ISIN

Reverse-Retail GmbH

Bonds
Type
EUR 88.250,00
Total issuance amount
10.0 %
Interest Rate
EUR 250
Token nominal value
July 1, 2023
Date of Issuance
July 1, 2027
Date of Maturity
DE000A351P95
ISIN

IO HAWK Invest GmbH

Bonds
Type
EUR 126.250,00
Total issuance amount
10.0 %
Interest Rate
EUR 250
Token nominal value
June 22, 2023
Date of Issuance
June 22, 2027
Date of Maturity
DE000A351MF1
ISIN

QimiQ Handels GmbH - Sachzins

Bonds
Type
EUR 2.000
Total issuance amount
8.0 %
Interest Rate
EUR 250
Token nominal value
June 15, 2023
Date of Issuance
June 15, 2027
Date of Maturity
AT0000A330J4
ISIN

QimiQ Handels GmbH - Geldzins

Bonds
Type
EUR 282.750,00
Total issuance amount
8.0 %
Interest Rate
EUR 250
Token nominal value
June 15, 2023
Date of Issuance
June 15, 2027
Date of Maturity
AT0000A330H8
ISIN

Burgschneider GmbH

Bonds
Type
EUR 121.500
Total issuance amount
9.0 %
Interest Rate
EUR 250
Token nominal value
June 15, 2023
Date of Issuance
June 15, 2027
Date of Maturity
DE000A30V729
ISIN

Lemberona Handels GmbH

Bonds
Type
EUR 397.250,00
Total issuance amount
8.0 %
Interest Rate
EUR 250
Token nominal value
June 1, 2023
Date of Issuance
June 1, 2026
Date of Maturity
AT0000A330N6
ISIN

Hüffermann Krandienst GmbH

Bonds
Type
EUR 850.000,00
Total issuance amount
9.0 %
Interest Rate
EUR 250
Token nominal value
May 15, 2023
Date of Issuance
May 15, 2027
Date of Maturity
DE000A351K41
ISIN

Nabore GmbH

Bonds
Type
EUR 352.250,00
Total issuance amount
9.0 %
Interest Rate
EUR 250
Token nominal value
May 4, 2023
Date of Issuance
May 4, 2028
Date of Maturity
DE000A351K33
ISIN

Reederei Kapitän Prüsse GmbH & Co. KG - Gutschein

Bonds
Type
EUR 3.750,00
Total issuance amount
9.0 %
Interest Rate
EUR 250
Token nominal value
April 7, 2023
Date of Issuance
April 7, 2028
Date of Maturity
DE000A351413
ISIN

Reederei Kapitän Prüsse GmbH & Co. KG - Geld

Bonds
Type
EUR 505.250,00
Total issuance amount
9.0 %
Interest Rate
EUR 250
Token nominal value
April 7, 2023
Date of Issuance
April 7, 2028
Date of Maturity
DE000A30V547
ISIN

rent2buy AG

Bonds
Type
EUR 563.000,00
Total issuance amount
8.0 %
Interest Rate
EUR 250
Token nominal value
January 1, 2023
Date of Issuance
January 1, 2028
Date of Maturity
DE000A30V4J1
ISIN

Wechselpilot GmbH

Bonds
Type
EUR 600.210,00
Total issuance amount
5.0 %
Interest Rate
EUR 270
Token nominal value
May 6, 2022
Date of Issuance
March 31, 2027
Date of Maturity
DE000A3MQQX1
ISIN

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Your contact

Contact us for a discovery call with our expert:

Celina

Celina Homps
Business Development Manager

The Company

Smart Registry GmbH
Uhlandstraße 32 c/o Mindspace
10719 Berlin

Data Protection

NYALA Digital Asset AG

Uhlandstraße 32

10719 Berlin

info{at}nyala.de