arXiv Open Access 2022

Managing Risk in DeFi Portfolios

Hugo Inzirillo Stanislas de Quenetain
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Abstrak

Decentralized Finance (DeFi) is a new financial industry built on blockchain technologies. Decentralized financial services have consequently increased the ability to lend, borrow, and invest in decentralized investment vehicles, allowing investors to bypass third party intermediaries. DeFi's promise is to reduce the cost of transaction and management fees whilst increasing trust between agents of the Financial Industry 3.0. This paper provides an overview of the different components of DeFi, as well as the risks involved in investing through these new vehicles. We will also propose an allocation methodology which will integrate and quantify these risks.

Topik & Kata Kunci

Penulis (2)

H

Hugo Inzirillo

S

Stanislas de Quenetain

Format Sitasi

Inzirillo, H., Quenetain, S.d. (2022). Managing Risk in DeFi Portfolios. https://arxiv.org/abs/2205.14699

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Informasi Jurnal
Tahun Terbit
2022
Bahasa
en
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arXiv
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Open Access ✓