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Reference

Changelog

What shipped, and when. Newest first.

Every release that changed something a user can see. Internal work, refactors and infrastructure are not listed.

0.6.0

28 Aug 2026

Latest

Looping configurator

Leverage moved out of the trade ticket and into a page of its own, ranked by what a loop actually returns after borrow.

  • AddedA looping page ranking every eligible market by looped APY.
  • AddedA configurator per market: leverage, deposit, and projected value at maturity.
  • ChangedThe loop toggle is now disabled in markets where the borrow rate exceeds the fixed return.
  • FixedLooped APY no longer rounded before the borrow rate was subtracted.

0.5.0

11 Aug 2026

Order book reads in return

Book levels and the transaction tape now lead with implied fixed return rather than price, which is the number the decision actually turns on.

  • ChangedOrder book levels show the fixed return each level implies, alongside size.
  • AddedPrecision grouping at 0.01%, 0.05% and 0.1% of return.
  • AddedThe transaction tape prints the fixed return each fill implied at its moment.

0.4.0

22 Jul 2026

Pools split by side

Every market now runs a separate PT pool and YT pool instead of one combined venue.

  • AddedIndependent PT/USDG and YT/USDG pools per token and maturity.
  • AddedPT pool positions quote fee APR and inventory fixed return separately.
  • ChangedThe pools page sorts by pool liquidity rather than by underlying market size.

0.3.0

30 Jun 2026

Claim and redeem

The settlement half of the lifecycle.

  • AddedContinuous YT dividend accrual, claimable in USDG at any time.
  • AddedPT redemption from the maturity date onward, one for one.
  • AddedExpected value per quarter on each YT position.
  • FixedAccrual clock now restarts at zero on claim rather than carrying a remainder.

0.2.0

9 Jun 2026

Merge

Splitting became reversible.

  • AddedMerging equal PT and YT back into the original token, before maturity.
  • AddedA merge tab listing every token and maturity where both sides are held.
  • ChangedMerging now accepts bought units, not only units you minted yourself.

0.1.0

19 May 2026

First markets

Split, and two sides that trade.

  • AddedSplitting a verified stock token into PT and YT for a chosen maturity.
  • AddedPT and YT markets quoted in USDG, isolated per token and date.
  • AddedVault deposits with automatic detection and crediting.
  • AddedWallet discovery and connection on Robinhood Chain.