For the complete documentation index, see llms.txt. This page is also available as Markdown.

Manage a Community Vault

After creating a Community Vault, open the Vault Detail page to monitor performance, handle deposits and withdrawals, and manage LP strategies.

1. Review Vault Summary

At the top of the page, you can check key vault metrics:

  • TVL: total value in the vault

  • Daily Yield: recent yield generated

  • APR-7d: 7-day annualized return

  • Your Share: your ownership percentage

  • PnL: your profit or loss

  • Revenue: commission earned by the vault owner

You can also view the vault status, chain, owner address, participant count, and last update time.

2. Monitor Performance

Use the Overview tab to track vault performance over time.

You can switch between APY and TVL, and filter by time ranges such as 24h, 7D, 30D, 90D, and 1Y.

This helps you review performance before adding funds or adjusting strategies.

3. Deposit or Withdraw

Use the right-side panel to manage your funds.

  • Deposit: add more assets to the vault

  • Withdraw: remove your share from the vault

The panel shows your wallet balance, estimated vault share, total deposit value, and commission fee.

4. Manage Assets and LP Positions

Open the Assets tab to view open and closed LP positions.

For each position, you can check liquidity value, PnL, unclaimed rewards, APR, price range, age, and range status.

Use the action menu to Add liquidity, Remove liquidity, Claim fees, Compound, or Rebalance.

5. Add New Strategy

Click Add New Strategy to create another LP strategy for the vault.

Available strategies are limited to the supported tokens and pools selected during vault creation.

6. Comments and Participants

The vault page also includes a community section where users can:

  • Leave comments

  • View participants

  • Read pinned owner comments

Vault owners can use comments to share updates, explain strategy changes, or provide context for participants.

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