Strategy Flow and Execution (WIP)

Risk managers are tasked with selecting and pre-approving the quality of underlying assets and protocols to be integrated into Amphor vaults. TVL, asset concentration, protocol governance, available on-chain liquidity, logic of Smart Contracts, implementation, audit choice, testnet runs, and other factors are scored via the pre-selection criteria.

If the designated scoring threshold is met, the asset/protocol is now eligible for whitelisting. As Amphor.io evolves, the whitelisting process will be driven/governed by specific DAO members & entities (namely, so far: HyperNative; MEV Capital; RedeFine; and Amphor core team).

  1. As soon as a new protocol or asset is whitelisted, the contracts are included into the scope, determining whether a vault allocation should be redirected towards it and – if positive – executing the optimal sizing through the best route path (Cowswap, Odos DEX aggregators under MEVBlocker RPC).

  2. Once an allocation and execution route isin suggested by the algorithm, it is reviewed and validated by a Strategy supervisor before final allocation processing.

With the initial release of V1, Amphor launches the omni-vault, mostly focused on LRT for now. Additional narrative-based vaults are to come later in 2024 and beyond. Indeed, Amphor Vault’s architecture allows the protocol to be chain-agnostic and address any DeFi narratives on multiple EVM chains.

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