A reliable fund value starts with consistent records. Naventa compares issuer, custodian, and administrator valuations to establish one trusted NAV before value reaches the market.
Reported asset balances need independent confirmation. Naventa matches fund records against custodian data, helping ensure tokenized valuations are supported by consistent underlying records.
Asset prices can vary across providers. Naventa cross-checks approved pricing sources to identify inconsistencies before they influence the valuation of a tokenized fund.
Conflicting NAV inputs should be identified before they become market values. Naventa flags inconsistent records early, helping prevent unsupported valuations from reaching token markets.