DeFi Risk &
Protocol Advisory
Services

We provide independent risk analysis, monitoring design, and advisory support for DeFi protocols, curators, and risk-bearing systems. Our work focuses on parameter risk, collateral behaviour, oracle dependencies, and liquidation mechanics across onchain markets.

DeFi Lending Protocols
Stablecoin Issuers
Vault Curators
Risk Managers
Infrastructure Providers
Engagement Models

Transparent Pricing

No governance proposals, no seven-figure contracts. Risk intelligence priced for protocols that are building — not only for those that have already arrived.

Tier I
Sentinel
Oracle monitoring + weekly report
$999
Per month
  • Oracle price monitoring (3 markets)
  • Misconfiguration & deviation alerts
  • Telegram + email alert delivery
  • Weekly risk digest report
  • Business hours support
Get Started
Tier III
Aegis
Full-coverage bespoke engagement
Custom
Tailored engagement
  • Multi-protocol coverage
  • Custom signal & alert logic
  • Protocol risk review (quarterly)
  • Stress & scenario analysis
  • Dedicated curator relationship mgmt
  • Priority SLA + dedicated contact
Contact Us

One-off protocol risk reviews are available as standalone engagements starting from $1,500, independent of any monthly plan. Pricing scales with protocol complexity, number of markets, and oracle architecture. All engagements begin with a free scoping call to evaluate fit.

Core Service Areas

What We Deliver

Four service areas designed to cover the full risk lifecycle — from initial review through continuous monitoring and ongoing advisory.

01 — REVIEW

Protocol Risk Reviews

Independent, structured analysis of a protocol's risk surface — covering parameter configuration, collateral assumptions, oracle reliance, and liquidation mechanics. We approach each review as an external adversarial perspective: looking for the failure modes your own team may be too close to see.

  • Collateral structure and LTV/LT parameter analysis
  • Oracle dependency mapping and deviation risk
  • Liquidation mechanic review and cascade modelling
  • Market stress behaviour under extreme scenarios
  • Written report with prioritised findings and recommendations
Deliverable
Structured PDF report
+ executive summary
+ follow-up call
Timeline
5–10 business days
Request Review
02 — ADVISORY

Curator & Vault Risk Advisory

Ongoing risk advisory for vault curators, lending market operators, and structured yield strategies. We act as an independent risk function — reviewing allocation decisions, stress-testing parameter choices, and providing a second opinion before significant changes go live. Includes curator relationship management where required.

  • Vault allocation review and exposure concentration analysis
  • Parameter drift monitoring and change impact assessment
  • Pre-deployment risk check on new collateral listings
  • Curator decision support and documentation
  • Relationship management with protocol teams on your behalf
Deliverable
Ongoing advisory
calls + written
risk assessments
Engagement
Monthly retainer
Discuss Scope
03 — MONITORING

Real-Time Monitoring & Alerts

24/7 automated onchain monitoring of the risk signals that matter most — oracle price deviations, liquidity stress in secondary markets, collateral parameter drift, and custom thresholds you define. Every alert is delivered with a plain-English explanation of what triggered it and why it matters, not just a raw number.

  • Oracle price feed monitoring vs. reference sources (Chainlink, Pyth, CEX)
  • DEX liquidity depth and secondary market stress detection
  • Misconfiguration and pricing anomaly alerts (<60s latency)
  • Custom signal logic tailored to your protocol's risk profile
  • Alerts via Telegram and email with AI-generated context
  • Weekly risk digest summarising signal history
Live System
Deliverable
Real-time alerts
+ weekly digest
+ monthly review
Uptime
100% / 24h support
Start Monitoring
04 — RESEARCH

Scenario & Stress Analysis

Structured scenario modelling and stress testing for protocols preparing for extreme market conditions, new collateral listings, or governance parameter changes. We define failure paths, quantify exposure under tail scenarios, and publish findings as part of our weekly research output.

  • Depeg and oracle failure scenario modelling
  • Liquidation cascade analysis under correlated stress
  • Collateral liquidity depth under market shock conditions
  • Pre-listing risk assessment for new asset onboarding
  • Weekly written reports with market commentary and risk digest
Deliverable
Scenario reports
+ weekly research
+ data exports
Cadence
Weekly + ad-hoc
Request Analysis
Scope Clarity

What We Cover —
and What We Don't

We specialise in non-code risk surfaces. Understanding our scope helps ensure the right fit before we engage.

Within Our Scope
  • Parameter risk and collateral exposure analysis
  • Oracle dependency and pricing feed risk
  • Liquidity and market structure risk
  • Liquidation mechanics and cascade scenarios
  • Real-time onchain monitoring and alerting
  • Curator advisory and allocation review
  • Operational risk and governance parameter decisions
Outside Our Scope
  • Smart contract code audits
  • Formal verification or security testing
  • Protocol development or implementation
  • Legal, compliance, or regulatory advice
  • Investment advice or portfolio management

Not sure which
engagement fits
your situation?

We'll evaluate scope and fit on a free 30-minute call. No commitment required — just bring your protocol and we'll tell you exactly where the risk surfaces are.

Schedule a Call View Research