KeeperDAO

Workflows to capture and return order flow value with KeeperDAO (Rook)
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Stop letting intermediaries skim your order flow. With KeeperDAO (now Rook), you can route a swap, liquidation, or rebalance through a competitive execution layer that returns savings and rewards back to you. Start from any supported wallet or partner app, toggle the routing option, set your slippage and gas preferences, and submit. A network of specialized solvers competes to improve your fill. Once the trade settles, your rebate and detailed receipt are available to review and claim on the dashboard. Track lifetime earnings, export per-trade reports, and set reminders so you never miss a claim.

Building a wallet, DEX, or treasury tool? Integrate the routing SDK to send user intents to the auction layer without altering your custody model. Wrap the transaction, pass the user’s constraints, and receive a signed settlement if an improvement is found. If the auction times out, the order falls back to your default path automatically, preserving UX. Use the analytics endpoint to compare execution quality before and after integration, monitor fill quality, and surface real-time receipts directly in your app. Roll out gradually behind a feature flag, A/B test routes, and tune parameters per user segment.

Running professional strategies? Register as a solver and connect your bots via the provided libraries. Implement the callbacks to receive intents, simulate fills, and return bids that share savings with users. Scorecards and audits track performance and fairness; stronger, consistent execution earns more flow. Use the sandbox to test backrun, cross-DEX routing, liquidation, and arbitrage strategies with realistic gas and latency constraints. Set alerting for missed opportunities, enforce risk guards, and maintain compliance with policy rules. Payments and penalties are automated, with clear settlement proofs for every action you take.

Managing a DAO or fund? Route large rebalances, liquidity deployments, and unwind events through curated execution policies. Choose what sources of order flow you accept, set reward splits, define fail-safes, and schedule windows to reduce slippage on big moves. Treasury operators can standardize execution across venues, keep a paper trail with verifiable receipts, and generate board-ready reports. Governance participants can propose updates to routing preferences, solver access, and revenue distribution, then observe on-chain metrics to confirm the policy actually improves outcomes. The result: predictable execution, measurable savings, and transparent accounting you can defend to your stakeholders.

Review Summary

Features

  • - Intent-based routing with competitive bidding
  • - SDK/API for wallets, DEXs, and treasury tools
  • - Non-custodial flow with automatic fallback
  • - Claimable rebates and per-trade receipts
  • - Solver onboarding, scorecards, and sandbox testing
  • - Real-time analytics and execution comparisons
  • - Policy controls for routing, splits, and safety rules
  • - Auditable settlement proofs and exportable reports

How It’s Used

  • - Everyday traders: toggle routing, submit swap, claim rebate
  • - Wallets/DEXs: integrate SDK, A/B test routes, display receipts
  • - Professional solvers: register, connect bots, bid and settle fairly
  • - DAOs/treasuries: route rebalances, set policies, generate reports

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