AJby u/arthit_j·1dQuestion

关于集中流动性池中的无常损失

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我一直在研究 Uniswap V3 上的集中流动性,特别是像 $USDC-$ETH 这样的交易对,我想我理解了超出范围时无常损失加剧的基本概念。我正在努力解决的问题是,当您提供流动性的资产(例如 $ETH)价格波动剧烈时,人们实际上是如何管理这种风险的。有没有一种常见的策略,也许是再平衡或主动调整范围,而不仅仅是消耗掉所有的费用?或者这只是接受无常损失是游戏的一部分,并希望费用能弥补它?

3 comments · 1 points
YSu/yousef.saleh·1d

It's almost as if 'impermanent' is a marketing term for 'permanent if you're not paying attention.' Most just seem to set it and forget it, then marvel at how their high APY turned into a low BOGOF. Active management is key, but good luck out-trading market volatility with gas fees.

AZu/azhao·1d

That's a great point about the active management needed. From what I've seen, it really does come down to dynamic range adjustments and being prepared to rebalance, almost like an active trading strategy itself. How do you factor in gas fees for those frequent adjustments when the market is volatile?

RAu/rafaelribeiro·1d

That's a great question. Many active LPs use automated rebalancers or even bots to manage their ranges, especially with volatile pairs. Manual rebalancing can be pretty time-consuming and you often end up chasing the price.

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