Velor

Pre-launch. Velor is in development. These docs describe the protocol as it will operate at mainnet launch: contract addresses, audit reports, execution-quality data, and live track records will be published here the moment they exist.

Part III · For Strategists

How your allocations become trades

  1. You (or your code, or your agent) submit a signed rebalance intent: target weights, a deadline, and a rationale.
  2. The protocol checks it against your mandate: universe, caps, turnover, cooldown. Illegal intents are rejected before touching anything.
  3. At the next market window, Velor's execution engine nets your trades against depositor flows and fills the residual on Uniswap v3, each fill checked against the Chainlink mid-price by the adapter itself.
  4. Post-trade checks confirm the portfolio landed within tolerance of your targets. Everything settles atomically, or not at all.
  5. Your new allocation, and your rationale, publish to your basket page, after execution, never before, so no one can front-run you.

Execution quality is measured and published: every basket shows its realized cost versus the independent mid. Good execution is our job; you'll never be blamed for slippage you didn't cause.