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guide · Cairn research education

Reference value is not guaranteed cash

Why a displayed claim value and an executable withdrawal are separate questions.

·Reference model only
Reference NAV to Capacity gate to Exit routeReference NAVsynthetic modelCapacity gateshow assumptionsExit routenot a guarantee

Reference NAV answers “what does the model claim represent at this reference price?” A cash exit asks “can this exact fraction be sold now within capacity, price freshness, slippage and issuer conditions?”

Cairn keeps those outputs separate. An indicative publisher observation never enters settlement. If pricing is stale or a transfer is frozen, the correct answer can be unavailable rather than zero.

Read the data boundary guide and try a blocked state in Settings.