> For the complete documentation index, see [llms.txt](https://atomic-strategy.gitbook.io/atomic-strategy/llms.txt). Markdown versions of documentation pages are available by appending `.md` to page URLs; this page is available as [Markdown](https://atomic-strategy.gitbook.io/atomic-strategy/tokenomics/copy-of-genesis-product-mev-capital-boosted-usdc-strategy.md).

# Copy of Genesis Product : MEV Capital Boosted USDC Strategy

### **Links :**&#x20;

Vault Link : <https://app.morpho.org/ethereum/vault/0xd63070114470f685b75B74D60EEc7c1113d33a3D/mev-capital-usdc?tab=vault>

MEV CAPITAL on X : <https://x.com/MEVCapital>

**MEV Capital Website :** <https://www.mevcapital.com/>

### **Strategy Overview**

The MEV Capital Usual Boosted USDC vault is dedicated to providing capital to Usual protocol markets. It gives access to extra incentives from Usual to boost the USDC APR for borrowers [Phantom](https://phantom.com/tokens/ethereum/0xd63070114470f685b75b74d60eec7c1113d33a3d)

### **Key Features**

#### **Professional Management**

MEV Capital is a risk management firm specializing in optimizing investment strategies in DeFi under a market-neutral mandate [Morpho](https://forum.morpho.org/t/mev-capital-usdc-prime-vault-updates/1814)

#### **Conservative Risk Profile**

```
- Stable markets only
- Very low liquidation odds
- Market-neutral strategy
- Active rebalancing optimization
```

#### **Current Performance**

```
- APY: ~30% (variable)
- Total Deposits: $111.92M  
- Liquidity Available: $365.56k
- Utilization Rate: 99.7%
```

### **Strategy Mechanics**

#### **Active Rebalancing**

Provides a set of liquid collateral markets with an optimized risk-adjusted return through an active rebalancing strategy [Morpho](https://app.morpho.org/ethereum/vault/0xd63070114470f685b75B74D60EEc7c1113d33a3D/mev-capital-usual-usdc)[Vaults](https://app.vaults.fyi/opportunity/mainnet/0xd63070114470f685b75B74D60EEc7c1113d33a3D)

#### **Usual Protocol Integration**

* **Boosted incentives** from Usual protocol
* **Enhanced APR** for USDC borrowers
* **Leverage looping** strategies for yield optimization
* **Stable collateral** focus for risk management

### **Market Position**

#### **Current Opportunity**

```
- Recent deposit reduction from $314M to $111M
- High utilization rate (99.7%) indicates strong demand
- Limited liquidity creates yield concentration
- Professional management with proven track record
```

#### **Risk Considerations**

```
⚠️ Limited immediate liquidity ($365k vs $111M deposits)
⚠️ Dependency on Usual protocol incentives
⚠️ Smart contract risk (Morpho + MEV Capital)
⚠️ DeFi market volatility exposure
```

### **Target Investor Profile**

**Suitable for:**

* Investors seeking stable, high-yield USDC exposure
* Users comfortable with DeFi protocols and smart contract risk
* Capital looking for professional management in yield strategies
* Investors who can handle limited liquidity windows

**Key Benefits:**

* **Professional yield optimization** by experienced team
* **Market-neutral approach** reduces directional risk
* **High utilization** maximizes capital efficiency
* **Boosted returns** through Usual protocol integration

***

**Summary:** Institutional-grade USDC yield strategy with active management, stable focus, and boosted returns through protocol partnerships.


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