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The profit vault is where realized trading profit goes to compound — like staking, but monitored. It’s optional and separate from the trading path.

Flow

  1. The agent realizes profit from trading.
  2. Profit is allocated across your profile basket (conservative / moderate / aggressive).
  3. Each leg passes the vault gate (won’t deposit into a position the monitor would exit).
  4. The yield-safety monitor watches every lot on cadence and acts on verdicts (EXIT / DELEVERAGE / ROTATE / HOLD).

Profiles

ProfileBasket
conservative100% USDC lend (no liquidation surface)
moderate60% JitoSOL/SOL 4× · 40% USDC lend
aggressive50% JitoSOL/SOL 8× · 30% JLP/USDC 3.2× · 20% lend
Conservative lend earns ~5.8% with no liquidation risk. Leverage earns the spread (net_apy = yield + spread × (leverage − 1)) — more yield, real liquidation risk, watched by the monitor.

The safety monitor

How the vault protects itself.