Architecture
Multi-Manager
Yield Engine
Performance Advantage
The adaptive multi-manager model delivers higher risk-adjusted yields than single-strategy systems while improving resilience across market conditions.
Avant Adaptive Model
Single-Strategy
U.S. Treasury
Illustrative architecture-level comparison. Actual rates vary.
Multi-Strategy Approach
Capital is deployed across delta-neutral strategies managed by specialized trading partners. This adaptive approach reduces reliance on any single strategy or market condition.
Strategy mix varies by product and market conditions.
Adaptive Allocation
Capital allocation is actively managed and rebalanced across strategies in real time as market conditions evolve.
Transparency
Verifiable by Default
Independent valuations, public wallets, and a live dashboard.
Independent Valuation
Portfolio NAV is calculated weekly by Pennyworks, an independent third-party valuation provider.
Onchain Visibility
Strategy wallet addresses are publicly documented, with capital flows and positions directly verifiable onchain.
Live Dashboard
Portfolio composition, strategy allocation, and historical performance are available through Avant's transparency dashboard.
Explore Products
Each product is structured in two tranches: Senior earns priority yield with downside protection, while Junior absorbs losses after the Reserve Fund is exhausted, in exchange for a higher share of yield.
Risk Management
Layered Capital
Protection
Four protection layers absorb risk in sequence — depositor capital is impacted only after every layer above it is exhausted.
01
Security
Protects infrastructure, key management, and transaction execution through audited systems and operational controls.
Threat Modeling
MPC Key Management
Monitoring & Response
02
Reserve Fund
Protocol-owned capital that absorbs unexpected losses before any tranche is impacted.
First-Loss Capital
Protocol-Funded
Onchain Transparency
03
Junior Tranche
Provides an additional layer of protection for senior deposits while earning higher potential returns.
Tokens
avUSDx
avBTCx
avETHx
Capital Buffer
Return-Enhanced Exposure
04
Senior Tranche
The most protected position in the system, impacted only after all other protection layers are exhausted.
Tokens
savUSD
savBTC
savETH
Most-Protected Position
Security
Defense in depth
Independent review. Hardened operations. Continuous monitoring.
01
Smart contract audits
Lean, audited contracts reviewed across multiple engagements by top independent security firms.
02
Key management and transaction security
MPC custody with split private keys. A policy engine and approval threshold gate every transaction before signing. Quorum based, zero knowledge encrypted backup held by an independent custodian, with immutable audit trails.
Vendor details available under NDA
03
Operational security
Continuous OPSEC reviews covering threat modeling, social engineering, and physical security. Protocol-owned hardware and managed device controls across all operators.
Designed For
Capital with a thesis
Institutional Allocators
Defined senior and junior risk profiles that fit within existing mandates. Discrete tranches sized and modeled like any other allocation in a diversified portfolio.
Protocol Treasuries
Senior allocations built for capital preservation, with transparent reporting and verifiable backing that holds up to board, IC, or governance review.
Fintech & Earn Vaults
Embeddable yield infrastructure for wallets, exchanges, and consumer fintech. Partners can route customer balances into transparent onchain yield.
Self-Directed Capital
Onchain participants setting their own risk profile across senior and junior tranches. Capital preservation at one end, amplified yield exposure at the other.
