What Upside is, who it's for, and how to navigate these docs.
What is guaranteed on-chain, what isn't, and key trust assumptions.
How raises are configured, pricing mechanics, and raise isolation.
How deposits work, position representation, and allocation mechanics.
The three investor actions: hold, redeem to collateral, or claim tokens.
Capital flow from deposit through yield to exit and optional buyback/burn.
Yield sources, Aave V3 launch strategy, and diversification.
Platform fee model, DAO allocation, and incentive alignment.
Risk assumptions, failure scenarios, and recovery expectations.
Rate limiting, pause mechanics, and liquidity stress behavior.
Architecture overview and contract responsibilities.
Pricing and conversion formulas used by PutManager.
Access control model, admin procedures, and operational controls.
Key state variables, terminology mapping, and contract interfaces.
Definitions of key terms used across the documentation.