Use the lead trading strategy, combined with Easy Defi, to achieve excess annualized returns.
By applying 0-0.7x leverage on mainstream assets through lending protocols, users retain the underlying asset's yield while earning amplified returns, thereby maximizing capital efficiency.
This risk control strategy monitors the market in real-time, dynamically adjusts leverage, and reserves a capital buffer to help users redeem assets and returns early during extreme volatility, preventing liquidation.
The strategy ensures users earn real USDC returns and Capy Points, providing early investors with dual benefits. Minting and burning are conducted on a 1:1 basis with real assets to ensure exchange rate stability.
This strategy uses 0 to 1x leverage and strictly controls single-trade losses, significantly reducing liquidation risk. The active risk control system will halt trading during periods of low market volatility and resume trading once volatility picks up.
The algorithm leverages the price fluctuation data from the previous day to calculate today's daily volatility, excess volatility, and extreme volatility, capturing the price spread between excess and extreme volatility.
This strategy exhibits lasting effectiveness and broad adaptability. As a result, it can adjust to most market conditions and has the potential to evolve into various investment portfolios and hedging strategies, offering more stable excess returns.
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