
NAV Reporting
What SOC 2 Type 2 Means for Portfolio Data
Octav is SOC 2 Type 1 and Type 2 compliant. What the difference actually is, what auditors test, and why it matters when a vendor reads your fund's wallets.
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Octav is SOC 2 Type 1 and Type 2 compliant. What the difference actually is, what auditors test, and why it matters when a vendor reads your fund's wallets.
2 min read

How digital asset funds calculate Net Asset Value across wallets, chains and DeFi protocols — and why manual spreadsheet NAV breaks at scale.
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Turning raw on-chain activity into an auditable ledger. Why transaction labelling is the bottleneck, and what an accountant actually needs from the data.
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What a fund's security review should cover before connecting wallets to a portfolio provider — key custody, read-only access, SOC 2 and data residency.
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