Issuance

Issuance platform overview

Juggervault operates digital capital-market infrastructure for IPO, Corporate Bond, and Project Financing offerings: onboarding, verification, project records, compliance review, primary subscription, dividends, buyback, and distribution partners. Rights in real-world assets are represented digitally. The platform does not deliver physical commodities.

Infrastructure only. Not a licensed capital-market intermediary. Not an offer of securities. Live offerings require an appointed licensed partner. Units represent economic rights in the offering vehicle or contracted cash flows, not physical energy delivery or legal title to land.

Three programs share the same rails. A licensed partner controls each offer. Juggervault provides infrastructure only.

Solar farm, transmission grid, and energy infrastructure across multiple verticals

Offering programs

The same rails. A licensed partner controls each offer.

Equity

IPO

Primary equity offering. A licensed partner controls the offer. Juggervault supplies the rails.

Debt

Corporate Bond

Corporate debt offering. A licensed partner controls the offer. Juggervault supplies the rails.

Project

Project Financing

Project financing offering. A licensed partner controls the offer. Juggervault supplies the rails.

Sector inventory

Live catalogs emphasize African energy. Real estate is also supported. Rails are industry-agnostic when partners bring further offerings.

Hydrocarbon

Reserves, production, midstream, and refining rights.

Rights represented: Production rights, reserve interests, offtake agreements, and midstream capacity shares.

Renewable

Solar, wind, hydro, and biomass project rights.

Rights represented: Generation capacity, PPA-backed cash flows, and project equity in renewable portfolios.

Transitional

LNG, CNG, and hybrid generation rights.

Rights represented: Facility stakes, offtake-backed cash flows, and operating interests in transition projects.

Nuclear and advanced

Nuclear and next-generation generation rights.

Rights represented: Licensed capacity rights, long-term output contracts, and advanced energy IP stakes.

Grid and storage

Storage, transmission, and distribution rights.

Rights represented: Storage capacity rights, grid connection assets, and distribution network participations.

Energy services

Service-contract cash flows: O&M, advisory, and project services.

Rights represented: Future service-contract cash flows so firms can raise capital against contracted work they already perform.

Investor returns and exit pathways

Where an offering is opened by a licensed partner, sponsors select intended exit pathways. Investors may earn dividends from project or service revenue where configured. Issuer buyback is optional on all programs, including energy Project Financing: it is available only when the issuer configures it and is willing to accept requests. Continuous secondary trading is not available in the current phase.

Dividends

Where configured

Issuer distributes project cash flows to eligible holders. Accrued rights follow transfers of the project share.

Issuer buyback

Optional

Request/settle repurchase at a configured price when the issuer is willing to accept. Not a guaranteed put and not a secondary market.

Maturity or acquisition

Traditional

Final payout when the project matures, is refinanced, or is acquired through traditional exits.

Platform architecture

Layers are separated so user-facing flows, policy checks, stored evidence, and settlement steps can be reviewed independently, including primary sale, buyback, and dividend distribution.

Operational flow

Projects do not advance to primary subscription without passing identity, business, and compliance steps.

  1. 01

    Account and identity

    Users register, verify email, and submit identity verification. Nigerian identity fields (BVN, NIN, TIN) and supporting documents are collected in structured forms. Sensitive fields can be encrypted at rest. YouVerify assists checks where enabled.

    Sign-up, identity verification

  2. 02

    Company onboarding

    Issuing accounts complete company verification, appoint the licensed partner required for the offering, and submit issuance briefs that describe intended projects.

    Company onboarding, KYB, offering briefs

  3. 03

    Offering package

    Assigned managers create offerings under IPO, Corporate Bond, or Project Financing. Sector inventory currently emphasizes energy, with real estate also supported. Assets stay in review until compliance and admin dual approval.

    Offering package, document upload, dual approval

  4. 04

    Compliance and governance

    Compliance officers and admins use review queues, set transfer rules, track audit requirements, update compliance scores, and manage flags.

    Compliance console, admin console

  5. 05

    Primary subscription

    Verified investors complete registration for an offering. Project managers open primary sale. Investors allocate via bank transfer (default) or account balance. Units settle into the investor's Juggervault registered account.

    Investor registration, primary sale, bank settle

  6. 06

    Returns and exits

    Where configured, issuers distribute dividends that holders claim. Issuer buyback is optional: investors may request repurchase at a set price only when the offering includes it and the issuer accepts.

    Dividend claims, buyback requests, activity records

Records and oversight

KYC and KYB evidence

Submissions and documents with review outcomes and notes.

Activity logs

Admin actions, primary sales, buybacks, dividend events, and allocation records.

Rules and scores

Per-asset transfer rules, flags, and compliance scoring.

Data protection

Optional encryption for sensitive identity and company fields at rest.

Central records

Users, companies, assets, and compliance state in the platform database, with settlement events linked where applicable.

Sector inventory

Hydrocarbon, renewable, transitional, nuclear, grid, and energy services today, with industry-agnostic rails for further asset classes.