Liquidity Bands 🌊
Last updated
Last updated
The LM contract stores the desired band targets. When the re-balancer moves the band, it will fetch the latest desired band strategy from LM Owner and re-deploy liquidity as per the parameters. The bands are kept away from each other (or being a modulo of each other, to ensure they are never re-balanced at the same time).
Ownership by LM Contract: The Liquidity Manager contract owns the LP positions, not the user. The user owns the shares.
User Asset Addition: Users add their assets (single or dual) via the LM Contract choosing the class and the range of the pool.
Zapping Assets: Assets are “zapped” by an aggregator to ensure they are in the correct ratio before deposit. ⚡🔄
Leftover Refunds: Any leftovers are refunded by the LM back to the user. 💸
The Zapper Aggregator handles the permutations and price ranges on your behalf, so you can sit back and enjoy the rewards! 🌟