Vault tear-sheet
Felix USDhl
#465 overall by TVL#11 on HyperEVM#5 for Felix
History
The daily history is not charted on this page yet. Current metrics are shown below.
Returns and fees
Net
Gross
APY
0.0%
0.0%
Base APY
n/a
n/a
Reward APY
n/a
n/a
30d mean APY
0.0%
n/a
Management feen/a
Performance fee10.0%
Period metrics
0.0%
30d return
0.0%
90d return
9.0%
1y return
12.8
Sharpe
1.0%
Volatility
13.2%
CAGR
0.0%
Max drawdown
1.3y
Age
Returns, Sharpe, volatility and drawdown are published for the vaults with a full price series. Where a series is unavailable the cell reads n/a; nothing is estimated. Sharpe is shown as >50 for very-low-volatility instruments (money-market and T-bill funds) where the raw ratio is mathematically large but not meaningful at that precision. Returns compounded from the daily net APY series (price-per-share unavailable).