Vault Manager Analytics

How the best qualified Hyperliquid vault managers are positioned right now, how that positioning is changing, how much risk they are taking, and whether capital is flowing in or out. Every position is measured as a share of the manager's own TVL, so a small manager counts as much as a large one.

Cohort
Strategy
Period
Top 50 · Directional · 0 managersLast updated: no data yetMethodology

UNI positioning

Top 50 · Directional · 30D← Back to Analytics
Manager exposure
+1.2%
Capital exposure
+0.7%
Participation
40%
Long / short
7 / 1
Long conviction
+3.6%
Short conviction
−0.5%

UNI exposure over time

Hover the chart
Manager exposureCapital exposureParticipation2026-09-14 2026-09-16

Positioning change

  • 1H+0.0pp
  • 24H−0.4pp
  • 7D

Biggest increases

  • Stratwise Multi-Asset Public+0.7pp
  • GeorgV Copytrading−12.7pp

Biggest decreases

  • GeorgV Copytrading−12.7pp
  • Stratwise Multi-Asset Public+0.7pp

Manager exposure distribution

Each included manager's current exposure to this asset, as a share of their own TVL.

Manager (lead vault)ExposureManager TVL
GeorgV Copytrading+10.6%$46K
JizzJazz+8.7%$200K
Stratwise Multi-Asset Public+3.2%$186K
WDA | MCLS+1.0%$28K
Growi HF+0.6%$11.4M
Satori Quantum HF Vault+0.6%$638K
Quant Mirror+0.6%$21K
Pulse@Evo-α−0.5%$171K