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Is Ethena's Yield Sustainable? Protocol Risks & Scaling Strategy w/ Founder Guy Young

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Risk Management and Treasury Strategies in DeFi

The chapter explores risk management strategies in DeFi, focusing on open interest, funding rates, and liabilities in bear markets. Discussions include the necessary insurance fund amount for outstanding supply, the impact of drop farming on fund dynamics, and managing exposure to centralized exchange insolvency. Delving into ETH collateral, liquidity risks, and collateral choices like USDT, the conversation underscores the importance of strategic treasury management and risk mitigation in the dynamic DeFi space.

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