v2.13.3, 30 September 2026. Canonical pitch and deck updated. BVI project / Cayman Islands token / UAE and Singapore customer markets. No signed pilots.
Dated scope note (23 September 2026).
Editable deck. Forecasts and prototype data are not contracted activity.
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CONFIDENTIAL - INSTITUTIONAL DATA ROOM
Data Room Index
Asset-class-neutral liquidity and distribution rail for tokenized real-world assets.
A consolidated diligence pack for the current thesis: GlemO is a neutral rail that helps tokenized real-world assets become sourced, discovered, distributed and measured across qualified market participants.
Read This First
The gap: Tokenization infrastructure has moved faster than distribution infrastructure. The market can create tokenized assets, but many assets still lack buyer activation, comparable discovery, reporting discipline, liquidity workflows and trusted participant routing.
GlemO's wedge: GlemO does not need to become the issuer, bank, custodian, exchange or market maker. The company wins if it becomes the neutral coordination layer that organizes supply, qualifies demand, routes providers, measures liquidity readiness and gives the market a reliable operating rail.
Investor read: This round should be evaluated as a 24-month de-risking plan. The US$2M buys platform ownership, active sourcing, buyer activation, legal/compliance readiness, operating discipline and the evidence required for a stronger seed round.
Investor ReadinessMeeting posture, follow-up routing and investor/partner narrativeAsset-Class ExpansionHow the rail expands beyond the first proof marketInstitutional ChecklistMinimum maturity evidence for funds and strategic partnersInvestor Deck PDFCurrent investor narrative and founder presentationMVP1 Feasible ScopeCore first-release build, simplified modules and phase-two boundariesJourney MapComplete journey map of every platform environment, actor journey and operating routeDeveloper PRD / SRSDeveloper-ready MVP1 requirements, actor model, data model, APIs, workflows, controls and acceptance criteriaDFD & RequirementsCurrent platform data flows, product requirements and traceability to screens, actors, data stores and controlsRegulatory PositioningInvestor-safe perimeter: infrastructure, not issuer, custodian, exchange or adviserEnterprise SaaS OfferTwo-plan seller package, US$990 enterprise AI service and recurring revenue proofData Room SecurityProduction controls for investor access, logs, versions and protected filesReadiness RegisterOperating checklist for required artifacts, controls, owners and missing MVP1 evidence by actorProduct Readiness Platform V4.8Complete buyer, seller, admin, AI, billing, compliance, rails and builder prototype with readiness controlsRetail Client PortalSeparate consumer login, profile, wallets, transactions and account statementsInstitutional PortalMandates, diligence files, committee workflow and larger allocation requestsSeller AdminEntity profile, users, signers, plan, billing and internal approvalsBilling / Revenue OpsSaaS, setup, servicing, transaction fees, invoices and collection controlsAI OperationsAgent governance, prompt chain, report delivery and quality queueCompliance CasesAML/KYC, suitability, financial promotion and disclosure case managementOperating Model XLSX24-month cash plan, use of funds and milestone gatesEvidence StatusClaim-by-claim diligence map
Diligence Map
Investor ReadinessMeeting posture, audience-specific narrative, follow-up package and no-go language for investor conversations.Asset-Class Expansion MapShows why real estate credit is the first proof market while the rail remains designed for broader tokenized private-market assets.Institutional Diligence ChecklistMinimum maturity evidence and open gaps for funds, strategic partners and regulated institutions.MVP1 Feasible ScopePractical first-release build plan showing core modules, simplified modules and phase-two expansion boundaries.Journey MapComplete journey map of platform environments, actor groups, visible routes and major functional modules.DFD & RequirementsV4.7 DFD baseline and current build requirements for the V4.8 platform, including actors, processes, data stores, controls and screen traceability.Product Requirements / PRDDeveloper-ready MVP1 specification in EN, PT, ES, FR and AR with modules, data model, workflows, APIs, controls and acceptance criteria.Readiness RegisterOperating checklist for artifacts, owner responsibilities, manual controls and missing MVP1 evidence across every actor instance.Product Readiness Platform V4.8Product-readiness briefing for the complete buyer, seller, admin, AI, billing, compliance, rails and builder platform with readiness controls.Retail Client PortalConsumer account area with login/password, registration profile, connected wallets, transaction history, statements and account controls.Institutional PortalWorkspace for funds, family offices and banks: mandate fit, diligence room, allocation request and committee workflow.Investor EducationRisk, liquidity, redemption, reference return and suitability explanation before first allocation.Seller Organization AdminEntity owner area for users, signers, KYB, plan, invoices, internal approvals and sensitive permissions.Distribution Partner PortalChannel workspace for official asset inventory, lead attribution, conversion, revenue-share rules and approved disclosure controls.Seller PlansTwo-plan seller offer: Free listing and US$ 990 Enterprise AI by request with adhesion form, cart, billing cycle, card/crypto payment path and private scenario concierge.Billing / Revenue OpsSaaS subscriptions, setup fees, servicing fees, transaction fees, invoices, payment collection and revenue-quality metrics.AI OperationsAgent library, prompt chain, allowed data, market x-ray workflow, report delivery and quality-control queue.Enterprise Concierge DeskRequest-based service desk for private scenarios, market reports, comparative analysis and AI-assisted delivery.Compliance Case ManagementCase workflow for AML/KYC, suitability, financial promotion, disclosure gaps and material event blockers.Rail Partner PortalCustody, payment, banking rail, card, crypto, reconciliation, incident and fallback-route monitoring.Builder / dApp PortalDeveloper onboarding, API keys, sandbox, plugin review, usage analytics, revenue share and token-incentive logic.Asset Fact SheetTechnical asset sheet with responsible entities, tokenization history, collateral, documents, performance chart and liquidity chart.Distribution SaaSEnterprise layer for official channels, conversion analytics, external transaction leakage, incentive design and partner reporting.Investment MemoInvestment logic, thesis correction, risk framing and why now.Corporate StructureEntity map, which entity raises, licence terms from the existing group and how operating history transfers.Legal / ComplianceJurisdiction, disclosure, marketplace-front and token perimeter.Regulatory PositioningClear infrastructure posture, retail gating, token boundary, transaction-fee limits and counsel workstream.Wallet / Float PolicyTreasury, float, vesting, market-conduct controls and reporting.Rail Continuity PlanContinuity if any bank, provider, venue or asset-originator participant does not proceed.Seed Milestone GatesObjective gates required before positioning a US$20M+ seed valuation.Responsibility MatrixWhat GlemO owns versus what external participants provide.Competitive PositioningHow GlemO differs from issuers, tokenization platforms, marketplaces and venues.Evidence PlanEvidence architecture for provider, counsel, market and operating proof.Execution RequestsImmediate outreach language and execution requests.Canonical LanguageApproved language, banned language and canonical numbers.Business ModelRevenue architecture, payer logic and staged economic model.Enterprise SaaS OfferPaid seller/originator package with AI reports, market x-ray, benchmarks, private scenarios and renewal metrics.Data Room SecurityAccess-control plan separating the static demo package from investor-grade production hosting.Disclosure ProtocolDisclosure levels and what should be shown before and after NDA.Token GovernanceToken purpose lock and unanimous approval requirement.Use Of FundsBudget discipline and funding-gap review.GTM & PricingInitial commercial wedge, pricing logic and buyer/supply motion.Product MVP ScopeWhat gets built first, what waits and what proves the rail.Evidence StatusClaim-by-claim status table for investor diligence.Financial SummaryPre-seed allocation, model interpretation and economic guardrails.Execution Roadmap24-month execution path from de-risking to seed evidence.Unit EconomicsUnit economics by workflow, marketplace, distribution and infrastructure.Market ScaleMarket context and conservative interpretation of market size.
Current Round Summary
- Raise: US$2M pre-seed / de-risking round.
- Instrument: SAFE (BVI), 20% discount + token warrant (Cayman Islands), subject to definitive documents.
- Core product: MVP1-first neutral liquidity and distribution rail with public marketplace, retail account, institutional lead room, seller/admin environment, asset factory, readiness register, validator gate, billing basics, compliance cases, transaction proof and lightweight AI concierge.
- GTM: active sourcing of tokenized opportunities plus active buyer activation across qualified capital channels.
- Use of proceeds: platform build, legal/compliance, operating team, infrastructure/tools, buyer/supply development, investor development, strategic ecosystem events and reserve.
- Token objective: ecosystem incentives for useful dApps, AI agents, developer tooling and verified contribution. The token is not the investment thesis.
- Seed target: US$20M+ valuation only after objective evidence across platform, buyer response, provider coverage, revenue quality and cash discipline.
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