New Crypto Space, DID system purely on chain, fairlaunch of domain names, and the token price rose more than 20 times in the airdrop round1. Now airdrop2 and domain name registration have been launched, and are entering a positive rise period. Now, as long as one of the following conditions is met, you can have the priority of N2 stage: claim airdrop + nearly free registration of the best domain names, and invite N friends to earn N times of airdrop (the invitees need to complete domain name registration).
The price of a 3-digit domain name with 600k adresses is more than 20k dollars, the transaction price of a four-digit domain name with only several thousand adresses is 2k USD on December 12th. .new suffix domain name with 1.2k adresses now will soon exceed 5000 addresses.
- Interacted more than 20 times + purchased once on uniswap/pancakeswap before 1st March 2022 on BSC/ETH/Arbitrum.
- the address of holding the domain name with .eth, .bit, .ether, .nft, .crypto, .lens, .bnb suffix
- Official Twitter : https://twitter.com/newcryptospace
- Domain Name Registration:https://newcryptospace.org
- Airdrop address : https://newcryptospace.org/#/invite/0x580Aac3f98a1f7E3028e7474cBD3cBB27DCb8004
New Crypto Space (CRYPTO):
Contract (Arbitrum): 0x9842989969687f7d249d01Cae1D2ff6b7b6b6D35
Let everyone have their own DID purely on chain free like water and air. In the L2 era, every individual needs a .new domain name.
New Crypto Space will bring a new era of free domain name. New Crypto Space domain name may be the world's first decentralized application for nearly free domain name registration. It hopes to be a blockchain domain name that everyone can afford, just like tap water and air. It is both affordable and necessary for everyone.
DID should be as easily accessible and indispensable as everyone can have water and air, of which the high-quality resources (such as the best domain names) should not be controlled by a few rich people or privileged classes. The best domain name means extremely high value. However, the best domain names are free
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RSF singular focus is preserving capital while maximizing returns and minimizing risk.
RSF invests in single property transactions, multiple property portfolios, and real estate-related operating companies. The firm acquires and operates properties for its own account and actively invests in transactions with joint venture operating partners and third party borrowers.
All major commercial real estate asset classes located throughout the United States are eligible for investment consideration including office, warehouse/industrial, retail, apartments, hotel/resort, land, for-sale residential, and mixed-use properties.
Our PRI commitments include incorporating ESG factors into our investment decisions, starting with the due diligence of potential investments through to the exit process. We tailor ESG due diligence to each investment, and we create post-investment remediation plans for material ESG considerations. For all potential investments, we use internal experts and a variety of ESG frameworks to identify material ESG factors and utilize external consultants where appropriate.
This analysis includes everything from ensuring environmental, legal and regulatory compliance to the identification of opportunities to add value or mitigate risk in our portfolio. Our investment teams use an ESG due diligence guideline to ensure consideration of material ESG risks and opportunities. These teams then provide a detailed memorandum to the Investment Committee outlining the merits of the transaction and disclosures relating to risks, including material ESG issues, and potential mitigation strategies. All investments made by RSF must be approved by the Investment Committee and must incorporate ESG matters into their evaluation, including anti-bribery and corruption, health and safety, and other ESG considerations.
Successful commercial investing depends on thorough analysis, not whimsical prediction. RSF believes good fortune in investing is the product of good thinking. The firm’s goal is to apply disciplined bottom-up analytical procedures, sophisticated legal and financial structures, and proactive asset management to transactions that possess a value-oriented investment thesis.
RSF has been a national leader in the commercial private equity industry. The firm combines a vast origination platform, a disciplined investment strategy, and highly experienced professionals to generate risk-adjusted investment returns that rank RSF among the top performers within its field.
The RSF holdings Buyout Funds’ portfolio can be qualified as ‘asset light’ and the most material environmental indicator for many companies is electricity usage. Several early movers among the portfolio companies are developing detailed climate strategies by setting Carbon Neutral targets (e.g. Wehkamp and TietoEvry) or committing to Science-based targets (e.g. Thoughtworks). There are also several initiatives underway to reduce complexity, waste and natural resource consumption,, focusing on waste reduction, reuse and recycling in particular.
The RSF holdings Funds’ portfolio companies employ almost 1,000+ people (both indirectly) and with this comes a responsibility to ensure that processes and practices are in place across the portfolio to support the well being of the workforce. Through collecting multiple indicators on the employee base and its wellbeing, RSF holdings is able to highlight key best practices and also areas where more focus is required. One of these topics is the inclusion and diversity profile of the RSF holdings portfolio companies.
RSF holdings believes that good corporate governance is the foundation of effective corporate management. Virtually all companies have a code of conduct and/or a code of ethics which guides their business activities. Portfolio companies that are new or which have historically had less focus on governance are actively encouraged to adopt appropriate codes and processes within the first year of investment.
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RSF singular focus is preserving capital while maximizing returns and minimizing risk.
RSF invests in single property transactions, multiple property portfolios, and real estate-related operating companies. The firm acquires and operates properties for its own account and actively invests in transactions with joint venture operating partners and third party borrowers.
All major commercial real estate asset classes located throughout the United States are eligible for investment consideration including office, warehouse/industrial, retail, apartments, hotel/resort, land, for-sale residential, and mixed-use properties.
Our PRI commitments include incorporating ESG factors into our investment decisions, starting with the due diligence of potential investments through to the exit process. We tailor ESG due diligence to each investment, and we create post-investment remediation plans for material ESG considerations. For all potential investments, we use internal experts and a variety of ESG frameworks to identify material ESG factors and utilize external consultants where appropriate.
This analysis includes everything from ensuring environmental, legal and regulatory compliance to the identification of opportunities to add value or mitigate risk in our portfolio. Our investment teams use an ESG due diligence guideline to ensure consideration of material ESG risks and opportunities. These teams then provide a detailed memorandum to the Investment Committee outlining the merits of the transaction and disclosures relating to risks, including material ESG issues, and potential mitigation strategies. All investments made by RSF must be approved by the Investment Committee and must incorporate ESG matters into their evaluation, including anti-bribery and corruption, health and safety, and other ESG considerations.
Successful commercial investing depends on thorough analysis, not whimsical prediction. RSF believes good fortune in investing is the product of good thinking. The firm’s goal is to apply disciplined bottom-up analytical procedures, sophisticated legal and financial structures, and proactive asset management to transactions that possess a value-oriented investment thesis.
RSF has been a national leader in the commercial private equity industry. The firm combines a vast origination platform, a disciplined investment strategy, and highly experienced professionals to generate risk-adjusted investment returns that rank RSF among the top performers within its field.
The RSF holdings Buyout Funds’ portfolio can be qualified as ‘asset light’ and the most material environmental indicator for many companies is electricity usage. Several early movers among the portfolio companies are developing detailed climate strategies by setting Carbon Neutral targets (e.g. Wehkamp and TietoEvry) or committing to Science-based targets (e.g. Thoughtworks). There are also several initiatives underway to reduce complexity, waste and natural resource consumption,, focusing on waste reduction, reuse and recycling in particular.
The RSF holdings Funds’ portfolio companies employ almost 1,000+ people (both indirectly) and with this comes a responsibility to ensure that processes and practices are in place across the portfolio to support the well being of the workforce. Through collecting multiple indicators on the employee base and its wellbeing, RSF holdings is able to highlight key best practices and also areas where more focus is required. One of these topics is the inclusion and diversity profile of the RSF holdings portfolio companies.
RSF holdings believes that good corporate governance is the foundation of effective corporate management. Virtually all companies have a code of conduct and/or a code of ethics which guides their business activities. Portfolio companies that are new or which have historically had less focus on governance are actively encouraged to adopt appropriate codes and processes within the first year of investment.
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