Asset Issuance — Fees & fee sharing
Asset Issuance — Fees & fee sharing
How fees are configured, collected, and shared
03 / ASSET ISSUANCE · FEES
Issuers configure fees on their offerings; Clossir collects and routes them, including fee-sharing splits between parties.
Fee model
- Fee types — issuance, management, distribution, transfer
- Collection — settled alongside NAV/distribution events
- Fee sharing — configurable splits to partners / infra consumers
Fee sharing
Split configuration and settlement detail are coming soon.