Concept & Role
Concept
Vault : Automates asset management across multiple pools for owner.
Public Vault : Specific type of vault that allows users to deposit assets in exchange for shares, representing ownership of the vault.
Supply Asset : The underlying token or asset provided by users or the owner for allocation across different pools.
Vault APY : The annual percentage yield generated by the vault, reflecting the returns from its aggregated strategies.
Allocated Pools : The liquidity pools that are selected for asset allocation.
Role
Owner : Creator of vault. Owner can decide whitelisted liquidity pool to allocate liquidity and delegate authority for asset allocation to a designated manager.
Liquidity Provider(Shareholders) : Users can deposit liquidity in public vault. Liquidity providers receive pool shares proportional to their deposit, granting ownership rights to the corresponding share.
Vault Manager : Delegated by owner to manage asset allocation, Vault Manager is responsible for setting target weights for liquidity pools and rebalancing assets accordingly. Asset withdrawal(from the vault) is restricted to LPs.
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