Guardian

Medium Risk - No Exposure Strategy.

Guardian Strategy is designed to deliver stable, passive returns using only non-volatile assets. It prioritizes capital preservation while delivering really attractive returns.

Its goal is to maximize passive yield while preserving capital.

Typical Composition Example:

  • 25% USDC → Lending in Carrot

  • 25% USDC → Liquidity in Maple

  • 30% USDC → Liquidity in Huma

  • 5% USDC → Liquidity in Ondo

  • 5% USDT → Liquidity in Ethena

  • 10% USDC → Liquidity in Solayer

Estimated APY → 6-11%

The allocation and APY may adjust slightly depending on market conditions and yields.

Is Guardian for me?

It is ideal for you if you are looking for steady growth while preserving capital with-no market exposure.

Guardian Frequently Asked Questions

Is this strategy exposed to crypto market crashes?

No. Guardian avoids volatile tokens and does not track the price of crypto assets.

Can I withdraw at any time?

Yes, funds are deposited in liquid protocols and can be withdrawn 24/7.

What happens if a stablecoin loses its peg?

We monitor pegs and diversify across multiple stablecoins to mitigate risk.

Find more information in the FAQ section.

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