R2 Vaults Upgrade: Officially Launching a Clear Two-Tier Revenue Structure
- 核心观点:R2 Vaults升级,提供分层RWA收益产品。
- 关键要素:
- 推出sR2USD(低风险高流动)与sR2USD+(高收益周期锁)两类产品。
- 底层收益100%来自机构级RWA,无杠杆与代币通胀。
- 目标APY分别为5.0-5.5%与8.0-10.0%。
- 市场影响:为链上用户提供更清晰、真实的收益选择。
- 时效性标注:中期影响。
R2 Vaults is receiving a significant upgrade. This upgrade will officially launch with Season 2 (S2), offering clearer tiered returns to meet the needs of users with different risk and liquidity preferences. Meanwhile, R2 remains committed to its core principles:
Bring real, transparent real-world asset (RWA) yields onto the blockchain.
After the upgrade, R2 will offer two Vaults with clearly defined positioning and distinct risk and liquidity characteristics:
- sR2USD : High liquidity, low risk core yield Vault
- sR2USD+ : Season-based enhanced yield Vault for long-term funds
Both types of Vaults have underlying returns that are 100% derived from institutional-grade real-world assets (RWA), without relying on leverage or token inflation.
sR2USD: Core Stable Yield Vault
Target APY: Approximately 5.0%–5.5% (pure RWA earnings)
sR2USD is positioned as R2's core low-risk return product, targeting users who seek stable returns, high liquidity, and a predictable redemption experience.
portfolio
- VBILL (25%) : Liquidity-anchored asset and fast redemption buffer
- USCC (40%) : Enhanced liquidity benefits (T+3)
- STAC (25%) : Stable, predictable cash flow (T+3)
- MB (10%) : Short-term, cash flow-supported yield-enhancing assets
Core features
- Risk level: Low
- Liquidity: High
- Redemption period: T+3
- Profit distribution: Settlement occurs in 90-day seasons.
sR2USD aims to become a high-quality "cash management" product on-chain, striking a balance between stability, liquidity, and real returns.
sR2USD+: Enhanced Yields Season Vault
Target APY: Approximately 8.0%–10.0% (pure RWA returns)
sR2USD+ is designed for users who are willing to lock up funds for a full season in exchange for higher returns. It introduces longer durations and a more diversified asset structure to achieve higher returns.
portfolio
- VBILL (5%) : NAV stability and minimum liquidity buffer
- USCC (35%) : Enhanced liquidity benefits (T+3)
- STAC (10%) : Stable cash flow assets (T+3)
- MB (30%) : Short- to medium-term yield-enhancing assets
- Apollo (20%) : Long-term, institutional-grade income assets
Core features
- Risk level: Low-medium
- Liquidity: Medium
- Redemption method: Redemption at the end of the season.
- Profit distribution: Settlement occurs in 90-day seasons.
While maintaining transparency and prudent risk management, we introduce controlled terms and credit exposures to unlock greater potential for real returns.
Why is this upgrade so important?
- The product positioning is clearer : liquidity priority or maximum return, it's obvious at a glance.
- Pure RWA Returns : No leverage, no synthetic return design
- Institutional-grade asset structure : diversified assets, clear cash flow path, and predictable redemptions.
- Season mechanism design : Funding term naturally matches underlying assets
With this upgrade, R2 further strengthens its position as an On-chain Real Yield Infrastructure , allowing real-world benefits to flow more naturally into Web3.
In the future, R2 will continue to optimize its portfolio, transparency disclosure, and ecosystem integration to make real returns simpler, more credible, and more global.
Season 2 is about to begin. Stay tuned for more details and data performance.


