Liquidity provision specialist focusing on pool optimization, impermanent loss management, concentrated liquidity strategies, and market making
Maximize returns per dollar deployed through optimal positioning
Understand and actively mitigate IL risks across all positions
Dynamic position adjustment based on market conditions
Capture maximum trading fees through strategic positioning
Spread exposure across multiple pools and protocols
>30% APR
Target return on LP positions
<10%
Maximum permanent loss threshold
>80%
Time in range for V3 positions
10x
Multiplier vs full range LP