> For the complete documentation index, see [llms.txt](https://city-protocol.gitbook.io/docs/llms.txt). Markdown versions of documentation pages are available by appending `.md` to page URLs; this page is available as [Markdown](https://city-protocol.gitbook.io/docs/vault-as-a-service/overview/example-configurations.md).

# Example configurations

The current stack deck includes several example vault profiles. These examples are useful as implementation templates and should be reviewed before public publication if final commercial terms change.

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### RWA-backed lending vault template

An RWA-backed lending vault may use a stablecoin funding currency to finance secured private credit positions.

**Example configuration fields:**

· funding currency: stablecoin;

· collateral type: digital-asset loan receivables or RWA-backed receivables;

· collateralization target: 150%;

· minimum collateralization: 120%;

· capacity: defined vault-level cap;

· liquidity: monthly or scheduled redemption;

· verification: independent data verification network;

· reporting: collateral coverage, reserve reports, NAV history, settlement records.

This template is designed for products where the main risk control is collateral coverage and continuous verification of assets and liabilities.

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### Statistical arbitrage vault template

A statistical arbitrage vault may allocate capital to a systematic, market-neutral strategy across approved centralized and decentralized venues.

**Example configuration fields:**

· accepted asset: USDC or another approved stablecoin;

· minimum deposit: configured per product;

· approved venues: selected exchanges or DeFi protocols;

· redemption: weekly, T+7, or product-specific cycle;

· NAV calculation: total assets divided by total shares outstanding;

· management fee: configured per vault;

· performance fee: configured per vault;

· controls: drawdown limits, leverage limits, venue whitelist, strategy debt tracking.

This template is designed for products where the main risk control is mandate enforcement and real-time strategy monitoring.

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### Market-neutral managed-account template

A managed-account strategy may not issue a freely transferable share token, but can still use VaaS for reporting, subscription handling, proof of deployment, and redemption tracking.

**Example configuration fields:**

· base assets: USDT, USDC, BTC, ETH, or approved assets;

· structure: managed account or SMA;

· reporting: monthly statements, account-level reporting, anonymized equity curve;

· liquidity: monthly cycle with notice period;

· emergency withdrawal: optional accelerated path subject to settlement conditions;

· monitoring: account-level NAV, venue exposure, strategy performance, and withdrawal status.

This template is designed for institutional strategies that need onchain access and verification without necessarily becoming a fully public tokenized share product.
