Financial Operations

Protect Capital and Optimize Performance Across DeFi

Real-time financial risk monitoring, predictive alerting, and automated response, giving your team lead time to act before losses or opportunities materialize.

Detect Financial Risk Across Every Onchain Position

Respond Automatically Before Losses Materialize

Detect any financial risk

De-Pegging Events
Pool Composition Shifts
Collateral Ratio Deterioration
Health Factor Degradation
Flash Loan Activity
Oracle Manipulation
Utilization Rate Spikes
Price Manipulation
Reserve Ratio Changes

Take preventative action immediately

Trigger Position Unwinding
Withdraw At-Risk Liquidity
Alert Risk Teams
Activate Emergency Redemptions
Adjust Protocol Parameters
Pause Risky Interactions
Escalate for Review
Inject liquidity
freeze collateral

How Hypernative Protects Onchain Financial Performance

From peg stability to liquidation monitoring and economic attack detection, every financial risk surface is covered.

PEG MONITORING

Get Early Warning on De-Pegging Before Stability Is Tested

ML-powered tracking of pool composition, liquidity depth, and price deviation across all deployment chains. Predictive alerts give lead time for defensive action.

POSITION MONITORING

Track Health Factors, Collateral, and Liquidation Risk in Real Time

Continuous monitoring of DeFi position health across lending markets, LP positions, and staking allocations. Configurable alerts before critical thresholds are breached.

ECONOMIC ATTACK DETECTION

Detect Flash Loans, Oracle Manipulation, and Market Attacks

AI-powered financial risk agents identify economic exploits that target protocol logic rather than code, threats that audits and traditional monitoring are blind to.

AUTOMATED RESPONSE

Automate Defensive Actions When Financial Conditions Deteriorate

Pre-configured workflows trigger position unwinding, liquidity withdrawal, and parameter adjustments automatically, protecting capital 24/7 without waiting for manual decisions.

Solutions for Any Financial Performance Use Case

From yield optimization to stablecoin monitoring and portfolio protection, Hypernative covers the full financial risk surface.

Liquidity & Yield Optimization
Portfolio & Asset Protection
Stablecoin Security & Monitoring
Liquidity Pool Screening
Staking & Validator Security
Liquidity & Yield Optimization

Protect and Optimize Yield Across DeFi Positions

Real-time monitoring of pool health, utilization rates, and yield conditions. Automated alerts and defensive actions trigger when financial conditions deteriorate across active positions.

Portfolio & Asset Protection

Safeguard Portfolio Value With Continuous Risk Monitoring

Track every position across protocols and chains with unified financial risk visibility. Automated response workflows protect capital when threats or market conditions demand action.

Stablecoin Security & Monitoring

Monitor Peg Stability, Reserves, and Collateral Health

Predictive de-peg alerting, reserve-vs-supply monitoring, and collateral health tracking for stablecoin issuers, operators, and institutions with stablecoin exposure.

Liquidity Pool Screening

Assess Pool Risk Before and After Deploying Capital

Evaluate pool composition, toxicity, and fund exposure before entering, and receive ongoing alerts if conditions change after deployment, ensuring capital stays within your risk and regulatory requirements.

Staking & Validator Security

Monitor Staking Positions and Validator Performance

Track slashing risk, operator health, reward rates, and staking protocol security. Alerts and defensive actions trigger when staking positions are financially at risk.

Financial Risk Management at Every Stage of the Capital Lifecycle

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Pre-Deployment Due Diligence

Assess protocol health, pool composition, and financial risk indicators before deploying capital. Screen for economic vulnerabilities, oracle dependencies, and liquidity conditions.

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Active Position Monitoring

Continuous, real-time tracking of health factors, collateral ratios, utilization rates, peg stability, and yield conditions across every active position, with configurable alert thresholds.

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Risk and Deterioration Response

Automated workflows trigger position unwinding, liquidity withdrawal, and parameter adjustments the moment financial conditions cross configured thresholds 25/7, including outside business hours.

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Reporting and Analysis

Centralized financial risk dashboard with historical tracking, incident documentation, and exportable reports for portfolio review, risk committees, and regulatory examinations.

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