Price Oracle
Net Asset Value (NAV)
The Price Oracle ensures the accurate and up-to-date valuation of the vault's assets, which is essential. This enables users to deposit and redeem assets at fair values.
The Price Oracle’s role is crucial for maintaining transparency and trust within the vault, safeguarding user funds, and ensuring smooth fund management.
The Price Oracle is responsible for :
Propose NAV updates: The Price Oracle provides updated valuations based on real-time market data. It should be done at an adequate frequency to allow for settlements of user deposits and withdrawals.
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