1. Trading Strategy Vaults

Trading Strategy vaults will store funds and LP assets and execute fund allocation. Its core design philosophy is to eliminate counterparty risk while ensuring the efficiency of fund operations.

To achieve this goal, these vaults are built with a safe guardian mechanism, along with defined permissible transaction types in the smart contract code. Any transaction involving the misuse of funds is automatically excluded. This means that even if all members provide authorization for fund transfers, transactions will not proceed if they violate predetermined rules. By directly incorporating trust into the code, users are not dependent on trusting fund managers, Solv, or any singular entity such as the prime brokers. This design ensures the security and reliability of funds, offering higher transparency and trust.

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