论文标题
管理Defi投资组合的风险
Managing Risk in DeFi Portfolios
论文作者
论文摘要
分散的金融(DEFI)是建立在区块链技术的新金融行业。因此,分散的金融服务已经提高了借贷,借入和投资分散投资工具的能力,使投资者绕过第三方中介机构。 Defi的承诺是降低交易和管理费的成本,同时增加金融业代理人之间的信任3.0。本文概述了DEFI的不同组成部分,以及通过这些新车辆进行投资所涉及的风险。我们还将提出一种分配方法,该方法将整合和量化这些风险。
Decentralized Finance (DeFi) is a new financial industry built on blockchain technologies. Decentralized financial services have consequently increased the ability to lend, borrow, and invest in decentralized investment vehicles, allowing investors to bypass third party intermediaries. DeFi's promise is to reduce the cost of transaction and management fees whilst increasing trust between agents of the Financial Industry 3.0. This paper provides an overview of the different components of DeFi, as well as the risks involved in investing through these new vehicles. We will also propose an allocation methodology which will integrate and quantify these risks.