Stockpile Vault
Custody, reporting and the only exit path for assets.
The Stockpile vault is a custody and accounting contract, not a strategy. It holds the acquired assets, reports balances, and releases assets only against a burn.
Responsibilities
- Receive assets from the reserve engine
- Report per-asset balances for NAV and claim computation
- Release pro-rata legs on redemption
- Expose read paths the interface and any third party can verify
Non-responsibilities
- It does not rebalance
- It does not lend out its holdings
- It does not hold protocol treasury funds unrelated to the claim
- It does not have a discretionary withdrawal path