Index Services
Belief Systems' methodology and operating stack, available to issuers.
Prediction markets are now a credible pricing layer for event risk. Issuers want to package that exposure for institutional capital — as ETFs, structured notes, separately managed accounts, and indexed funds.
The constraint is not demand. It is operations. Daily NAV across event-driven baskets, redemption-aware execution against fragmented liquidity, on-chain custody reconciled to a fund accounting ledger, methodology that survives event resolution — none of this exists off the shelf.
Belief Systems has built it.
Two engagement models
License. Reference a Belief Index as the underlying for your product. You hold the issuer relationship and the regulated wrapper. We supply the methodology, daily NAV, constituent file, rebalance calendar, and calculation agent function under license.
Operate. Run a fund or note end-to-end on Belief Systems' operating stack — methodology, execution, custody, NAV, reconciliation — under your brand. You define the product and own the investor relationship. We run everything between subscription and redemption.
The stack
- NAV Engine
- Daily NAV on event-driven baskets, asset-based against on-chain custody truth. Handles resolution events, partial fills, and reconstitution.
- Execution
- Order routing against prediction-market venues with redemption-aware sizing and liquidity caps.
- Custody of Record
- Enclave-secured, per-fund wallets. No omnibus. Hardware-isolated signing keys.
- Ledger
- Double-entry fund accounting with custody-vs-ledger reconciliation. The system of record is on-chain; the ledger reconciles to it daily.
- Reconciliation
- Continuous solvency and pairing invariants. Mismatches halt activity, not the books.
- Reporting
- NAV time series, holdings, fee accruals, audit trail. Delivered to your administrator on your schedule.
Get in touch
For licensing, operate engagements, or partnership inquiries: contact@beliefsystems.xyz