Three strategy families, each with defined execution logic, bounded risk controls and user-configurable parameters — coordinated by the Matrix Engine.
Systematic execution for users seeking structured token distribution. Venta Exit is designed to distribute positions through managed liquidity execution rather than single-point selling.
Rule-based accumulation designed around predefined market conditions. Venta Accumulate is built for users who want structured position building without constant manual timing.
Automated liquidity management and fee compounding. Venta Compound is designed to keep liquidity positions productive as markets move.
Every Venta strategy follows the same lifecycle — defined up front, monitored continuously, adapted within bounds.
Define objectives, parameters and risk bounds for the strategy.
The engine watches market conditions against your configuration.
Ranges, sizing and routing adjust inside approved limits.
Keeper carries out approved actions across liquidity venues.
Track performance, fees and full strategy activity.