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Investor Pools

Investor Pools are the module to allocate aUSD into actively managed yield pools. Each pool publishes:

  • Strategy summary (high-level — proprietary internals withheld)
  • Daily PnL (audited, on-chain attested)
  • Drawdown / Sharpe history
  • Fee schedule (management + performance)
  • Capacity (max AUM before soft-close)

Status

:::caution Pre-launch (testnet only) Investor Pools are currently in the dry-run / shadow testnet phase. The pool selector page (/investor/pools) is read-only — strategy summary and daily PnL are shown, but the Allocate button remains disabled until mainnet launch.

Gates to mainnet:

  • Tier-1 smart-contract audit (Trail of Bits / OpenZeppelin)
  • Active Immunefi bug bounty ($50k)
  • Bappebti / OJK compliance review (Indonesia)

See the Roadmap. Target APY, fees, and pool capacity will be published together with the audit report — we do not publish indicative APY numbers before the live track record is long enough to be on-chain verifiable. :::

Engines currently shadow-running

  • ZRA — Delta-neutral perp funding capture
  • ZRB — Basis revert (cross-CEX)
  • DV5 / DV6 — Volatility-compression breakout (proprietary internals undisclosed)

Detailed strategy and risk parameters are not published (proprietary). What will be public: daily on-chain attested PnL and Proof of Reserves.

See Deposit, Withdraw, Fees, Risk Disclosure, Proof of Reserves.