About Asortino
The reference layer for tokenized stocks and ETFs - every issuer, every chain, in real time.
Why do we exist?
Traditional financial data has long been fragmented: split across brokerages, delayed, reconciled after the fact, and locked inside systems that were never built to talk to each other. Most investors end up with a blurry, lagging picture of what they actually hold.
Financial products are increasingly becoming tokenized - stocks and ETFs represented on public blockchains, held in ordinary wallets, settled in the open, and visible to anyone with the address.
Yet the same stock can be tokenized by several different providers, each on its own set of chains, with its own way of handling dividends, its own issuance and redemption processes, and its own terms and conditions. Before an investor can even think about what to acquire, many questions need answering: what is this token, who issued it, how does it work, and is this smart contract address even the real one?
Our only job is to make the market legible, and the experience more in line with traditional finance.
What do we do?
Asortino is the reference layer for tokenized stocks and ETFs. We index every issuer, every public chain, and every token in one place. It lets anyone see a single asset across all of its wrappers at once - who issued it, on which chain, how it handles dividends, and the verified contract you can confirm yourself on a block explorer.
On top of that, we attach the fundamentals of the underlying financial product: price, market cap, financial metrics such as the P/E ratio, dividend history, and other corporate events.
We select assets and providers on two criteria: whether the tokenized product is publicly transferable, and whether it is issued on a public distributed ledger.
We do not issue tokens, and we do not operate any trading venue.
What do we believe?
We think the rails of public financial markets are moving on-chain - not as a forecast, but as something already underway across major exchanges and issuers.
However, blockchain rails alone don't help anyone much. What makes the shift matter is that it finally lets market and portfolio intelligence become more advanced: transparent instead of reconciled, real-time instead of delayed, composable instead of siloed. That is the market we are building for, and the one we believe most investors will increasingly live in.
Where are we going?
We started with the fundamentals - indexing the on-chain equity and ETF market and giving you underlying metrics you can trust. Everything we build from here extends the same principle: clear, current, fair visibility into what you own and what you can acquire.
We will keep working around the clock to introduce advanced market analytics and other portfolio tools in the coming weeks and months.
Work with us
Missing an asset, an issuer, or a metric you rely on? Building something in this space? We would like to hear from you.