For the complete documentation index, see llms.txt. This page is also available as Markdown.

🎮Platform Guide

Every tab and field of the SF Yield Vault interface

This page tours the vault view in the SF Yield Vault app — what each tab shows and what the fields mean. For step-by-step walkthroughs, see Deposit assets and Withdraw assets.

Figures on this page are sourced from Secured Finance's indexing service, which tracks the vaults on-chain; your own position is read directly from the vault contract. Values refresh automatically, though indexed figures can lag the chain by a few minutes.

Vault header

The top of the vault page shows the vault's identity and headline numbers: the vault name and contract address, the network and asset (for example, JPYC on Ethereum), TVL, Estimated APY (with the historical APY shown beneath it), and — once connected — Your Holdings, your position in asset terms.

Vault header with summary metrics
Vault header

Deposit and Withdraw

Two tabs below the header handle the actions you can take.

Deposit and Withdraw tabs
The action tabs

Deposit moves assets from your wallet into the vault:

Field
Meaning

From wallet

The asset you send (e.g. JPYC). Max uses your full balance

To vault

The vault share token you receive (e.g. yvJPYC)

You will receive

Estimated shares at the current price per share

Withdraw redeems shares back to your wallet:

Field
Meaning

From vault

The share token you redeem (e.g. yvJPYC). Max fills in the largest amount currently withdrawable — your full position when liquidity allows (details)

To wallet

The asset returned (e.g. JPYC)

You will receive

Estimated assets at the current price per share

Every action — approvals, deposits, withdrawals — is confirmed through your wallet and completes on-chain.

About

A short description of the vault, its APY over Last 7 days / Last 30 days / Inception, and its Fees (management and performance). Current fee values for both vaults are listed in Fees.

About tab with APY and fees
The About tab

Strategies

How the vault's assets are allocated: each strategy's name (for example, Secured Finance JPYC Lender), its Allocation %, allocation in dollar terms, and Est. APY. Expanding a strategy row reveals its contract address, per-strategy fees, and the time of the last report. Assets not yet deployed appear as an Unallocated balance. This tab is informational — allocation cannot be changed by users.

Strategies tab with an expanded strategy and unallocated balance
The Strategies tab

Info

Vault metadata and on-chain references for those who want the technical context, including the current Price Per Share.

Info tab
The Info tab

Risk

The risks of depositing — smart contract, strategy, and liquidity risk. Review this tab before depositing; it complements the strategy pages' risk notes.

Risk tab
The Risk tab

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