Versus Earn
Coming Soon
Versus Earn captures premium from hedging demand across DeFi and Web3 — an automated yield strategy on the earn side.
Automated hedging yield, powered by probability.
downloadSTEP 1
Deposit USDTYour USDT is deposited and queued for the next round.
arrow_or_edgeSTEP 2
Automated AllocationCapital flows into high-probability markets when the premium is attractive.
money_bagSTEP 3
Earn PremiumPremium is paid out when markets resolve, then capital rolls into the next round.
Preview DataInterface and returns are illustrative
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Your Portfolio$104,532.18
+$4,532.18(+4.53%)
Strategy Active
Allocation
62% Deployed
31% Parked
7% Idle
Deposited$100,000
Estimated APR54.4%
Historical Max Drawdown-2.1%
Hard Stop Limit-10%
Active Positions9 markets · Diversified
MarketEntryStatusTime Left
PriceBTC-USDT-1.5% 24hr95.4-0.3%18h 24m
PriceETH-USDT-1.5% 24hr92.6-0.8%12h 05m
PriceBTC-ETH-1.5% 24hr96.8-0.1%22h 11m
PriceBNB-USDT-1.5% 24hr89.4-0.4%6h 33m
List$BASEDUpbit KRW listing · Apr92.0Steady23h 11m
List$EDGEBinance listing · Apr91.0Steady22h 32m
ExploitSupernovaDEX exploit · Apr90.0Steady21h 48m
ExploitAboreanExploit · Apr91.0Steady20h 50m
ExploitAaveExploit · Apr98.0Steady31d 11h
Monthly Strategy ReturnAnnualized
Average APY+42.50%
Mar 2026+38.40%
Feb 2026+24.60%
Jan 2026-14.20%
Dec 2025+9.80%
Nov 2025+47.30%
Oct 2025+56.80%
Sep 2025+128.40%
Aug 2025+5.40%
Jul 2025+52.10%
Jun 2025+16.80%
May 2025+71.20%
Apr 2025+73.40%
Strategy OverviewThe Versus Earn strategy (automated premium harvesting) captures premium from high-probability hedging demand across DeFi and Web3 — protection against price drops, token-listing risk, and protocol exploits. The engine calculates fair probability from 365 days of historical data and enters only when the price discounts fair value by 5% or more, maintaining positive expected value on every position. Capital is diversified across Versus hedging markets and multiple time horizons to limit single-event exposure.
Risk DisclosureVersus Earn is not a principal-protected product. Loss of capital is possible. If a YES event triggers, the affected round position is fully lost. Maximum single-round exposure is capped at 3.33% of total capital. A hard stop at -10% MDD will automatically liquidate all positions and return remaining capital. Past performance does not guarantee future results.