During periods of extreme market volatility, the greatest risk is not the decline, but rather that you have no idea how much exposure you have. The goal of @Treehouse Official is to solve this problem. It consolidates positions dispersed across different chains, protocols, and even CeFi platforms into a computable and alertable dashboard. You don't just see the balance, but can clearly understand the real PnL, leverage ratio, and liquidation threshold.
Treehouse's risk modeling automatically identifies position types such as lending, LP, and derivatives, and simulates profit and loss and liquidation pathways during market shocks. This way, you can manage on-chain assets just like managing a traditional investment portfolio.
For institutional users, it also provides standardized APIs to directly integrate risk control indicators into trading and risk management systems, achieving a closed-loop of "monitoring-execution." #Treehouse $TREE