VaultVisionHL · Vault research
Public vault read / Manager-provided context

[ Systemic Strategies ] HyperGrowth vault read

A manager-repostable VaultVision read with current Hyperliquid vault data: TVL, APR, drawdown, risk, entry state, deposit state, and what can break first.

TVL$12.0M
APR-1.8%
30D-7.8%
90D+11.7%
30D max DD11.4%
Risk44/100
VaultVision read

Watch inspect before chasing the headline APR

Worth monitoring, but the read depends on drawdown, entry timing, and whether deposits are actually available. HLP context: $224.7M TVL, +0.0% APR, 58/100 risk, 19.8% 30d max drawdown.

Why inspect

  • Scale check: $12.0M TVL gives the read enough capital context.
  • Risk check: 44/100 moderate risk with 11.4% 30d max drawdown.
  • Entry check: Good Entry; deposit state: near_leader_cap.

What can break

  • Headline APR can hide manager path risk and recent drawdown.
  • Recent 30d return is -7.8%; inspect the chart before treating it as stable.
  • Capacity can change quickly on Hyperliquid vaults, so revalidate before any deposit.
VaultVision read: [ Systemic Strategies ] HyperGrowth has $12.0M TVL, 11.4% 30d max drawdown, 44/100 risk. Use it as diligence context, not a blind APR chase.
Live strategy footprint

What the vault is carrying now

Liquidation risk: low

Exposure, concentration, unrealized PnL, and flows come from the latest VaultVision Hyperliquid state snapshot. They describe the current setup; they do not predict the next return.

Gross exposure$5.9M
Net exposure-$772K
Effective leverage0.49x
Top position43.5%
Top 3 positions47.9%
Unrealized PnL+$2.7M
Net flow 24h-$6.7M
Net flow 7d-$124K
Evidence coverage: positions real; flows estimated. Flow values may be estimated when Hyperliquid does not expose a directly attributable realized-flow series.

FAQ

Is this a recommendation?
No. It is a public diligence read. It does not promise performance, managed deposits, or automated copy trading.
Why compare against HLP?
HLP is the default Hyperliquid vault benchmark many depositors know. It is useful context, not a risk-free default.
What should be rechecked before capital moves?
Deposit state, leader exposure, drawdown trend, entry label, capacity, current positions, and whether the vault still matches your risk budget.