We architect and deploy custom smart contracts for tokens, DeFi protocols, and NFT ecosystems. Our team of certified auditors writes gas-optimized, secure code in Solidity, Rust, or Vyper.
Yield-Generating Fund Strategy Contracts
Smart Contract Development
Secure, production-ready smart contracts built by certified auditors to power your Web3 product.
- Security-First Development: Every contract follows OpenZeppelin standards and undergoes internal review before deployment.
- Full-Stack Integration: We ensure seamless interaction with your frontend via
ethers.js/web3.jsand provide comprehensive testing suites. - Audit-Ready Code: Deliverables are structured for easy third-party review by firms like CertiK or Trail of Bits.
Reduce your time-to-audit by 40% with our battle-tested development patterns and comprehensive documentation.
From ERC-20/721/1155 tokens to complex DeFi primitives like AMMs or lending vaults, we deliver contracts you can deploy with confidence on Ethereum, Polygon, Solana, or any EVM-compatible chain.
Core Capabilities of Our Strategy Contracts
Our yield-generating fund strategies are production-ready, built on battle-tested security patterns and designed for institutional-grade performance. We deliver contracts that execute, not just promise.
Multi-Chain Strategy Deployment
Deploy a single, unified strategy logic across Ethereum, Arbitrum, Polygon, and Base. We handle the cross-chain complexities, ensuring consistent execution and fee optimization on each network.
Gas-Optimized Execution
Contracts engineered with Solidity best practices and assembly-level optimization. Reduce investor transaction costs by up to 40% versus standard implementations, directly boosting net APY.
Formal Verification & Audits
Every strategy undergoes formal verification using tools like Certora and a third-party audit from firms like Spearbit or Code4rena. We provide a verifiable security report for your fund's due diligence.
Real-Time Performance Oracles
Integrated Chainlink or Pyth oracles for accurate, manipulation-resistant APY calculations and NAV reporting. Provides transparent, verifiable performance data to investors on-chain.
Modular Fee Architecture
Flexible, configurable fee system supporting performance fees, management fees, and custom reward structures. Easily adjustable via governance, with all logic isolated to prevent upgrade risks.
Emergency & Governance Controls
Built-in circuit breakers, timelocks, and multi-sig guardian functions. Allows fund managers to pause deposits/withdrawals during market stress or migrate strategies safely.
Business Outcomes for Fund Managers
Our yield-generating fund strategy contracts are engineered to deliver measurable operational and financial advantages, moving beyond theoretical benefits to concrete, auditable outcomes.
Automated Fee Collection & Distribution
Smart contracts automate performance and management fee calculations, ensuring transparent, on-chain distribution to fund managers and investors, eliminating manual reconciliation and reducing administrative overhead by 80%.
Regulatory Compliance by Design
Contracts are built with on-chain KYC/AML verification modules and programmable investor accreditation checks, ensuring adherence to jurisdictional requirements and reducing compliance risk.
Enhanced Investor Transparency
Provide immutable, real-time portfolio performance data and fee breakdowns directly on-chain. Builds investor trust and reduces capital call inquiries by providing a single source of truth.
Operational Cost Reduction
Replace legacy middle-office systems and manual processes with self-executing smart contracts, significantly lowering operational costs associated with fund administration, reporting, and settlements.
Faster Time-to-Market for New Funds
Leverage our battle-tested, audited contract templates and deployment frameworks to launch new fund strategies in weeks, not months, capturing market opportunities faster.
Scalable Multi-Strategy Architecture
Deploy a modular fund vault that can seamlessly integrate new yield strategies (DeFi, staking, RWAs) without redeploying core contracts, enabling agile portfolio management.
Phased Development & Delivery
Our modular approach to building and deploying your yield-generating fund strategy, from initial architecture to ongoing management.
| Phase & Deliverables | Strategy Architecture | Smart Contract Development | Deployment & Operations |
|---|---|---|---|
Core Strategy Logic & Architecture | |||
Custom Vault & Token Contracts | |||
Integration with 5+ Yield Sources (e.g., Aave, Compound, Uniswap V3) | |||
Comprehensive Smart Contract Audit (2 rounds) | |||
Testnet Deployment & Simulation | |||
Mainnet Deployment & Configuration | |||
Production Monitoring Dashboard | |||
30-Day Post-Launch Support & Tuning | |||
Typical Timeline | 2-3 weeks | 4-6 weeks | 1-2 weeks |
Typical Investment | $15K - $25K | $40K - $75K | $10K - $20K |
Our Development & Audit Methodology
A rigorous, multi-phase approach designed to deliver secure, high-performance yield strategies with predictable timelines and zero surprises.
Architecture & Specification
We begin with a deep dive into your fund's risk profile and target yields, translating them into a detailed technical specification. This includes protocol integrations (e.g., Aave, Compound, Uniswap V3), fee structures, and withdrawal logic.
Secure Development
Our team builds your strategy contracts using battle-tested patterns (OpenZeppelin), gas-optimized Solidity (0.8.x+), and modular design for future upgrades. Every line is written with security and auditability as the priority.
Internal Review & Testing
Before external audit, we conduct exhaustive unit, integration, and fork testing. This includes simulations of market volatility, flash loan attacks, and protocol failures to ensure resilience under stress.
Deployment & Monitoring
We handle the secure deployment to mainnet or L2 (Arbitrum, Optimism), including proxy pattern setup for upgradeability. Post-launch, we provide monitoring dashboards for TVL, yields, and security alerts.
Documentation & Knowledge Transfer
You receive comprehensive technical documentation, user guides for investors, and a full walkthrough of the codebase. We ensure your team is fully equipped to manage and iterate on the strategy.
Frequently Asked Questions
Get clear answers on our process, security, and outcomes for building institutional-grade DeFi fund strategies.
Our process follows a structured 4-phase methodology proven across 30+ fund deployments. Phase 1: Discovery & Strategy (1 week) defines investment theses, risk parameters, and fee structures. Phase 2: Architecture & Design (2 weeks) creates the technical blueprint, including smart contract logic and integration points. Phase 3: Development & Auditing (3-5 weeks) involves building, internal testing, and a formal audit by a third-party firm like Spearbit or Code4rena. Phase 4: Deployment & Support (1 week) includes mainnet deployment, front-end integration, and handover with 90 days of bug-fix support.
Get In Touch
today.
Our experts will offer a free quote and a 30min call to discuss your project.