For liquidity providers and market makers

Buy a defined settlement claim—not an unexplained promise of yield.

Nostos gives available liquidity a structured role in the redemption path while keeping claim quality, expected settlement, capacity and exposure visible.

The liquidity opportunity

The discount is disclosed. The underlying wait is not disguised.

When a pool has capacity, an eligible pending claim can be transferred in exchange for available liquidity. The pool receives the underlying settlement later.

Defined claim

The pending redemption remains represented as a clear claim with an explicit ownership path.

Visible settlement timing

Expected timing is shown as an estimate and remains distinct from a confirmed settlement.

Disclosed discount

The cost of speed is visible to the seller before the claim is transferred.

Capacity and exposure

Pool capacity, claim eligibility and issuer exposure should be visible rather than implied.

Before a claim is purchased

Know what is defined—and what remains uncertain.

  • Claim representation and ownership path
  • Estimated settlement timing
  • Discount and purchase terms
  • Pool capacity and issuer exposure
  • On-chain request and receipt records

A conditional path

Available liquidity is an option, not a guarantee.

When there is no eligible liquidity, the standard settlement path remains intact. Nostos shows that condition directly rather than implying that every request can be purchased.

Nostos Instant

Track the wait. Keep the option.

Explore the pool interface and the information available around pending settlement claims.

Explore vaults