All Portfolio deposits are automatically split between all strategies inside. This portfolio approach reduces the risk of one protocol failure and dragging down the whole investment.
Reduced Market Volatility
First Brokkr Portfolios focus on stability and reducing market volatility. That's achieved by using only Stablecoins strategies and Delta Neutral Strategies in Portfolios. These classes of strategies are very resistant to market movements. And by being diversified in Portfolios the market volatility is also reduced.
Curated Approach & Risk Factor
Each portfolio has an APY goal that can be achieved on a certain risk level. Brokkr is always looking for ways to reduce risk first and increase APY second.
Each protocol comes through a risk assessment before is added to Brokkr Strategies. These assessments form an overall Risk Factor of the Portfolio and are continuously monitored and updated. In emergencies, all funds can be immediately withdrawn from a Protocol or Strategy.
Always Your Keys, Always Your Coins
All users have full control over their deposits and no one has the power to stop withdrawals.