Overview: Amplify Capital is a low fee, actively managed crypto fund designed to provide shareholders with concentrated risk-on exposure to crypto markets while outperforming other indices and accommodating liquidity needs.
Our Philosophy: Every trade is either long or short market volatility. We believe volatility is here to stay and our best positioning is concentrating our bets into a strict sector rotation, while enforcing a 10% "revenue generating" capital requirement on AUM in order to accommodate liquidity needs.
Fundamentally, everything boils down to a single trading decision. Do you want to risk on, or risk off? Make it simple. Low fees + simple strategies = effective exposure.
- Strategies include, but are not limited to: Capital Appreciation, Derivatives, Leverage, Yield Farming & Liquidity Providing.
- At its inception, this fund will have 2 strategies.
Risk On Flywheel:*
- User deposits $DAI.
- $DAI is swapped for $CRV.
- $CRV is deposited onto Convex.finance for cvxCRV earning APY paid in $CVX, $CRV & $3Crv.
- Repeat step 3 with $CRV earned from step 3.
- Lock $CVX yielded from step 3 onto Convex and delegate voting power to Votium.app for APY paid in Curve.fi vote bribes.
- Sell $3Crv & Votium bribes for $DAI and repeat step 1, or rollover $3Crv to Risk Off.
Risk Off Flywheel:
- User deposits $DAI.
- $DAI is collateralized on Aave against $USDC @ 35% LTV.
- $USDC is added to ibCRV liquidity & staked on convex earning APY paid in $CVX & $CRV.
- Sell $CVX, $CRV & $AAVE earned from step's 2 & 3 for $DAI and repeat step 1.
*While protocol integrations are being completed, this fund is in a $CRV & $CVX allocation phase which looks like the following Risk On Strategies:
- Add LP to cvxCRV/CRV and stake on Convex.
Benchmark: DeFi Pulse Index ($DPI)
Amplify Capital
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Amplify Capital
- PriceUSD PriceQuantityExpirationFrom
- PriceUSD PriceQuantityFloor DifferenceExpirationFrom
Overview: Amplify Capital is a low fee, actively managed crypto fund designed to provide shareholders with concentrated risk-on exposure to crypto markets while outperforming other indices and accommodating liquidity needs.
Our Philosophy: Every trade is either long or short market volatility. We believe volatility is here to stay and our best positioning is concentrating our bets into a strict sector rotation, while enforcing a 10% "revenue generating" capital requirement on AUM in order to accommodate liquidity needs.
Fundamentally, everything boils down to a single trading decision. Do you want to risk on, or risk off? Make it simple. Low fees + simple strategies = effective exposure.
- Strategies include, but are not limited to: Capital Appreciation, Derivatives, Leverage, Yield Farming & Liquidity Providing.
- At its inception, this fund will have 2 strategies.
Risk On Flywheel:*
- User deposits $DAI.
- $DAI is swapped for $CRV.
- $CRV is deposited onto Convex.finance for cvxCRV earning APY paid in $CVX, $CRV & $3Crv.
- Repeat step 3 with $CRV earned from step 3.
- Lock $CVX yielded from step 3 onto Convex and delegate voting power to Votium.app for APY paid in Curve.fi vote bribes.
- Sell $3Crv & Votium bribes for $DAI and repeat step 1, or rollover $3Crv to Risk Off.
Risk Off Flywheel:
- User deposits $DAI.
- $DAI is collateralized on Aave against $USDC @ 35% LTV.
- $USDC is added to ibCRV liquidity & staked on convex earning APY paid in $CVX & $CRV.
- Sell $CVX, $CRV & $AAVE earned from step's 2 & 3 for $DAI and repeat step 1.
*While protocol integrations are being completed, this fund is in a $CRV & $CVX allocation phase which looks like the following Risk On Strategies:
- Add LP to cvxCRV/CRV and stake on Convex.
Benchmark: DeFi Pulse Index ($DPI)