Vaults
Choose your asset exposure. Inspect strategy rules and automation status before depositing.
Choose exposure. Delegate the range work.
Compare your asset exposure, then review the strategy. Range adjustments and trading-fee reinvestment are managed automatically; deposits, withdrawals and reward claims require your wallet signature.
Checking the managed strategy catalog…
Compare the mechanics
Compare verified asset balances, fees and exit requirements. These vaults share a management model; selecting a different pair changes exposure, not the range algorithm.
Select up to three vaults to load their current contract facts.
Before using a managed strategy
Transactions stay in Flowstate and are signed in your wallet. Check Robinhood Chain, the asset pair, strategy, fees and transaction outputs before signing. Users still need assets and ETH for gas; strategy fees also apply. Existing Flowstate positions are not moved automatically.
Managed positions can lose value through price changes, impermanent loss, contract failures and privileged operator actions. Published CLM security reports do not establish that every deployment or underlying asset is audited. Flowstate has not received an independent security audit.
Stock and fund tokens are tokenized exposures. Tickers do not establish shareholder rights or eligibility; transfer restrictions and issuer conditions may apply. Review the asset terms before acquiring or depositing.
Supported managed positions appear in your portfolio. Native vault details include indexed activity; complete personal returns after all costs remain unavailable when records cannot be reconciled.
Strategy mechanics, fees and security limits ↗Managed contracts · In-app entry and exit · Capital at risk. No partnership or endorsement implied.
Choose your own allocation
Combine supported vaults with saved target percentages and guided, wallet-signed rebalancing.
Build your allocationFull-range vaults
Deposit and withdraw inside Flowstate. Reinvestment is conditional on contract calls; ranges are not actively adjusted.
Pool swap fee is not APY. It is charged on swaps; your return depends on trading activity, your share of liquidity, asset prices and costs.
The underlying vault holds full-range positions and can reinvest eligible fees when triggered. How compounding works ↗
Names and icons identify tokens; they do not verify stock backing, issuer affiliation or endorsement. Check the token contract in vault details.
Liquidity values use current pool prices and exclude uncollected fees. Funded does not mean vetted or safe. Pool registration is permissionless.