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R2 Vaults Upgrade: Officially Launching a Clear Dual Yield Structure

CN
Odaily星球日报
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3 months ago
AI summarizes in 5 seconds.

R2 Vaults is undergoing an important upgrade. This upgrade will officially launch with Season 2 (S2), providing clearer yield tiers to meet the needs of users with different risk and liquidity preferences. At the same time, R2 remains committed to its core principle:

Bringing real, transparent real-world asset (RWA) yields on-chain.

After the upgrade, R2 will offer two clearly defined Vaults with distinct risk and liquidity characteristics:

  • sR2USD: A core yield Vault with high liquidity and low risk
  • sR2USD+: An enhanced yield Vault aimed at long-term capital, with a Season cycle

The underlying yields of both Vaults come 100% from institutional-grade real-world assets (RWA), without relying on leverage or token inflation.

sR2USD: Core Stable Yield Vault

Target APY: Approximately 5.0%–5.5% (pure RWA yield)

sR2USD is aimed at users seeking stable returns, high liquidity, and predictable redemption experiences, positioned as R2's core low-risk yield product.

Asset Composition

  • VBILL (25%): Liquidity anchor assets and quick redemption buffer
  • USCC (40%): Enhanced liquidity yield (T+3)
  • STAC (25%): Stable, predictable cash flow (T+3)
  • MB (10%): Short-term, cash flow-supported yield enhancement assets

Core Features

  • Risk Level: Low
  • Liquidity: High
  • Redemption Cycle: T+3
  • Yield Distribution: Settled every 90 days in a Season cycle

The goal of sR2USD is to become a high-quality "cash management" product on-chain, balancing stability, liquidity, and real yield.

sR2USD+: Enhanced Yield Season Vault

Target APY: Approximately 8.0%–10.0% (pure RWA yield)

sR2USD+ is aimed at users willing to lock in funds for a complete Season cycle in exchange for higher yields, by introducing longer durations and a richer asset structure to achieve higher returns.

Asset Composition

  • VBILL (5%): NAV stability and minimal liquidity buffer
  • USCC (35%): Enhanced liquidity yield (T+3)
  • STAC (10%): Stable cash flow assets (T+3)
  • MB (30%): Short to medium-term yield enhancement assets
  • Apollo (20%): Long-term, institutional-grade yield assets

Core Features

  • Risk Level: Low–Medium
  • Liquidity: Medium
  • Redemption Method: Redeemed at the end of the Season
  • Yield Distribution: Settled every 90 days in a Season cycle

While maintaining transparency and prudent risk management, controlled durations and credit exposures are introduced to unlock higher real yield potential.

Why is this upgrade important?

  • Clearer Product Positioning: Liquidity priority or yield maximization, clearly defined
  • Pure RWA Yields: No leverage, no synthetic yield design
  • Institutional-Grade Asset Structure: Diverse assets, clear cash flow paths, predictable redemptions
  • Season Mechanism Design: Natural matching of fund durations and underlying assets

Through this upgrade, R2 further strengthens its positioning as On-chain Real Yield Infrastructure, allowing real-world yields to enter Web3 more naturally.

In the future, R2 will continue to optimize asset composition, transparency disclosures, and ecosystem integration, making real yields simpler, more trustworthy, and more global.

Season 2 is about to begin, stay tuned for more details and data performance.

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