Product

Issuance Studio

Turn a financial-product brief into a configured, launch-ready onchain instrument

A product idea is not yet a product

An issuer can describe the asset, target return, eligible investors, fees, markets, and operating rules in a document. That document does not deploy contracts, configure permissions, establish a market, or keep the product operating after launch.

Issuance Studio turns that brief into a product the rest of the Steer system can understand and operate.

Issuance StudioSelect the instrument. Configure the market. Package the launch.
Product catalog
Issuance Studio product selector with spot, derivative, lending, and structured instruments
Market configuration
Issuance Studio spot-market workflow for selecting a venue and configuring pool parameters
Launch package
Issuance Studio governance listing package with proposal, outreach, checklist, and timeline

One product dossier, carried through launch

Studio organizes the decisions that otherwise live across term sheets, deployment scripts, spreadsheets, operator messages, and dashboards. The issuer defines the instrument once, then carries the same product identity through configuration, approval, launch, and operation.

The dossier can include:

  • the underlying assets, instrument type, and intended payoff;
  • fees, access requirements, lifecycle events, and allocation routes;
  • approved venues, operators, functions, and operating limits;
  • the market and liquidity configuration required at launch; and
  • the reporting and evidence surfaces required after launch.

Studio does not decide whether those terms are economically or legally correct. It gives the issuer and its advisers a structured place to define, review, and operate them.

The handoff is the product

A configured product moves into several systems without becoming several disconnected projects:

HandoffWhat carries forward
MatadorThe permissions, limits, and resulting-state rules that apply on covered transaction paths
Steer NetworkThe application workloads and data processing required to operate the product
Steer ALMThe market and liquidity strategy when the product requires an operated market
Steer PrimeThe managed-account and portfolio configuration when the product is held through an adviser or curator workflow

That continuity is the distinction between deploying a contract and issuing an operating product.

The current surface

The current Studio experience separates the participants who need different views of the same product:

Issuer

Define instruments, configure products, and coordinate launch.

Investor

Review available products, terms, status, and participation routes.

Manager

Monitor products and perform the lifecycle work assigned to the manager.

Open Issuance Studio · Issuer workspace · Investor workspace · Manager workspace

Why it matters

Steer’s market infrastructure already handles deployment and recurring operation across chains and venues. Studio turns that operating base into a repeatable issuance workflow: define a product, carry its configuration into the systems that govern and operate it, and reuse the same path for the next launch.

Next: see how Steer ALM operates the market →