v0 previewGrades are draft or provisional: produced under Methodology v0.2.1 from public evidence, pending re-verification and issuer right-of-reply. Nothing here is investment advice, and these are not credit ratings.
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Gauntlet

Gauntlet Networks Inc. · Quant risk manager / vault curator · Multi-protocol · $905M supply · as of 2026-07-11

PILOT COVERAGE (Ring 1). Largest US-jurisdiction curator (~$905M tracked TVL, 78 products per CuratorWatch). Deep quant bench and no Stream exposure; the structural watch-item is alignment — revenue comes from the protocols and vaults it also risk-manages.

B+
76.7
provisionalconf medium
No haircut — curators are not held as collateral directly.
Realized loss history78 · 25%
No major realized loss events in curated vaults; legacy service-era incidents minor. [1]
Risk process82 · 20%
Institutional quant process, published research. [1]
Disclosure quality75 · 15%
Regular public reporting; strategy-level detail varies. [1]
Concentration72 · 15%
Diversified across protocols and 70+ products. [1]
Tenure & scale85 · 15%
One of the longest track records in DeFi risk (since 2018-19 era). [1]
Alignment & conflicts60 · 10%
Paid by the ecosystems it curates/advises; standard for the industry, still a conflict. [1]
What would change this grade: A realized bad-debt event in a Gauntlet-curated vault would cut Realized Losses; independent-review commitments would raise Alignment.
Live price

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Model signals
Not yet computed

The quantitative signal layer (stress-tested loss distributions, peg/leverage/backing metrics) is in development — see pivot/08_QUANT_ENGINE_SPEC.md. When live, signals are computed continuously by a model; grades are always signed by the analyst. The two are shown separately and never conflated.

Evidence appendix
Realized loss history: [1]
Risk process: [1]
Disclosure quality: [1]
Concentration: [1]
Tenure & scale: [1]
Alignment & conflicts: [1]
As of 2026-07-11 · Methodology v0.2.1