Gauntlet USD Alpha

    Institutional-grade vaults for decentralized finance

    Gauntlet vaults provide risk-adjusted DeFi yields for institutional capital at scale. These strategies are optimized by our automated risk platform — designed by the most vigilant, quantitative minds in crypto.

    Gauntlet monitors market conditions to execute on growth opportunities and preserve self-custodial capital by minimizing downside exposure.

    Deposit Now
    Market CapN/A
    RankN/A

    Basic Information

    ChainN/A
    ProtocolN/A
    Vault TypeN/A
    AgeN/A
    HoldersN/A
    AddressN/A
    LinkN/A
    Last updatedN/A

    Fundamentals

    Current TVLN/A
    Current APRN/A

    30d Moving Average TVLN/A
    30d Moving Average APRN/A
    30d Moving Average Risk-Adjusted APRN/A

    TVL

    N/A

    APR

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    Statistics

    WeeklyMonthlyQuarterlyYearly
    Period StartN/AN/AN/AN/A
    Period End (inclusive)N/AN/AN/AN/A
    APR
    N/A
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    CAGR (APY)
    N/A
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    TVL HighN/AN/AN/AN/A
    TVL LowN/AN/AN/AN/A

    Liquidity

    Not calculated yet

    Liquidity analysis will be available soon

    Liquidity to Market Cap
    1.90%
    Amihud Illiquidity
    7.30e-11
    May 2May 5May 8May 11May 14May 17May 20May 23May 26May 290.00%2.00%5.00%0.03.06.010.0

    Strategy

    Gauntlet USD Alpha provides institutional-grade yield optimization through systematic allocation across multiple DeFi protocols:

    1. Multi-Protocol Allocation
      • Capital is allocated across multiple Morpho vaults on Mainnet, Base, Arbitrum, and Optimism
      • Each vault reallocates its capital to the best yield opportunities (Pendle, Maple Finance, etc.)
      • Automatic rebalancing to optimize for best risk-adjusted returns
    2. Institutional-Grade Risk Management
      • Real-time monitoring of liquidity, stablecoin risk, and smart contract risk
      • Systematic risk constraints to avoid undesirable positioning
      • Position sizes constrained by vault and DEX liquidity
      • Aggregate exposure to non-blue-chip stablecoins limited to 40%
    3. Automated Optimization
      • Rewards automatically swapped to USDC and compounded
      • Dynamic allocation to new yield opportunities as market conditions change
      • Token turnover constrained by spot DEX liquidity to minimize market impact

    Yield Source

    Gauntlet USD Alpha generates yield through systematic allocation across multiple Morpho (lending protocol) vaults and other DeFi protocols.

    Yield type:Mixed

    Strategy Limits

    Systematic Risk Constraints

    • Vault position sizes constrained by vault and DEX liquidity
    • Aggregate exposure to non-blue-chip stablecoins limited to 40%
    • Collateral exposure constrained by DEX liquidity
    • Token turnover constrained by spot DEX liquidity

    Underlying Assets/Allocations

    gtusdcf (Morpho)55%
    smUSDC (Morpho)16%
    gteUSDc (Morpho)10%
    bbqUSDC (Morpho)7%
    exmUSDC (Morpho)5%
    midasUSDC (Morpho)4%
    Other3%

    Risk Analysis

    Protocol DesignBest
    Protocol MaturityGood
    GovernanceBest
    Asset StrengthGood
    ChainBest
    HistoryGood
    DependenciesBad

    Potential Risks

    • Stablecoin depeg risk - If underlying stablecoins lose their peg, the value of deposits decreases
    • Smart contract risk - Vulnerabilities in Morpho or vault adapters could lead to losses
    • Liquidity risk - Large moves in/out may incur slippage on swaps and bridging
    • Market risk - Changes in yield opportunities and market conditions may affect returns
    • Protocol risk - Dependencies on multiple DeFi protocols increase exposure to protocol-specific risks

    Risk Analysis (3rd Parties)

    Block Analitica Risk Scores
    N/A
    Blockworks Token Transparency
    N/A
    Bluechip
    N/A
    Cer.live
    N/A
    Credora
    N/A
    DeFiSafety
    N/A
    Moody's
    N/A
    SnP Stablecoin Rating
    N/A
    TokenInsight
    N/A
    Hindenrank
    B- (35/100)
    Sentora
    N/A

    Summary

    Gauntlet USD Alpha demonstrates strong institutional-grade risk management with proven track record in DeFi risk optimization. The strategy shows excellent performance compared to benchmarks, with systematic risk constraints and real-time monitoring.

    Limited third-party ratings suggest moderate transparency.

    Rating

    This page is for informational purposes only and does not constitute financial advice. DeFi strategies involve significant risk, including smart contract risk, protocol risk, and potential loss of capital. Past performance is not indicative of future results. Please conduct your own research before allocating capital.