Trading Pairs and Liquidity
Last updated
Last updated
Initial Order
User submits trade request
System checks internal pool liquidity
Calculates required external liquidity
Execution Flow
Use available pool liquidity first
Immediately source missing amount from DEX
Record fully backed position
Confirm trade to user
Risk Management
No price exposure risk
Real-time position backing
Transparent execution
Sustainable operation
Pool Monitoring
Real-time liquidity tracking
Threshold alerts
Balance management
DEX Integration
Multiple DEX connections
Smart routing
Best price execution
Slippage protection
External DEX transactions Queue
Multiple DEX connections
If the transaction failed, then the mechanism will send it again
Backup system
Rebalancing mechanism
For Platform
Eliminated price risk
Clear profit model
Sustainable operations
Real asset backing
For Users
Guaranteed execution
Transparent pricing
Reliable withdrawals
No virtual exposure
Reserve Structure
Platform maintains asset reserves
Regular rebalancing with external DEXs
Dynamic reserve requirements based on:
Total user positions
Market volatility
Withdrawal patterns
Risk Management
Real-time exposure monitoring
Automated hedging triggers
Reserve threshold alerts
Emergency procedures
Internal Settlement
Profits are first settled from platform reserves
Real-time balance updates
Immediate availability for withdrawal
External Liquidity Sourcing
Automated monitoring of reserve levels
Pre-emptive liquidity sourcing
Multi-DEX price optimization
Smart order routing for best execution