Whirlpools

Liquidity

Build, rebalance, and monitor concentrated liquidity positions across supported DEX protocols.

Wallet Pool Search

Shared wallet pool search component with a style profile for the Manage page.

Wallet Pools

Load your Orca pools from wallet positions and search by pair, symbol, or pool address.

Connect wallet to load your pools.

Manage Liquidity

Track key metrics and jump into per-pool management views.

PoolTVL24h VolumeAction

SOL / USDC

HUB8wWupq2Q9j3N3A1g9KkcsnM2fSYyWmL6YSpPooL1

$9.8M$2.4MOpen

JUP / SOL

8Yt9mLGQzM4hQfwtB1nqPLQy9Vd7x8T3c42XJ9e7D6dN

$3.1M$810KOpen

Rebalance Range

Update your active price range for selected position.

Auto-Compounding

Reinvest claimable fees into the same position.

Enabled

Runs every 6 hours

How to use?

Detailed guide for each Liquidity route with practical execution flow.

Start from Statistics to evaluate market context, then continue with Create/Add/Remove/Position based on your target action.

Liquidity management blocks

What each page is responsible for in the full liquidity workflow.

Statistics

Analyze market structure, pool depth, and activity zones to choose the best liquidity action before creating, adding, or removing positions.

Create

Create a new concentrated liquidity pool and initialize first position.

  1. Select DEX and token pair (base + quote), then set fee tier and initial price.
  2. Enter token amounts and choose range mode (full range or custom range).
  3. Preview Step 1/Step 2 transactions, confirm risk checkbox, and complete pool creation.

Add

Add liquidity to an existing pool or create an additional position range.

  1. Find a pool by pair symbol, pool address, or load from your wallet positions.
  2. Define deposit amounts and range parameters for the new or existing position.
  3. Open preview, verify estimates and slippage, then confirm transaction in wallet.

Remove

Partially or fully withdraw liquidity from an active position.

  1. Load wallet positions and select the target position by pair or mint.
  2. Set remove size by percent or token amount and review expected post-withdraw values.
  3. Confirm preview and submit transaction, then verify signature status in explorer.

Position

Track all active positions and jump to management actions.

  1. Filter by symbol, pool address, or position mint to find specific positions.
  2. Review balance composition, range status, and DEX metadata for each position.
  3. Use quick actions (Add More, Remove, Harvest, Pool View) to continue workflow.

Execution checklist

Short pre-sign checklist to reduce avoidable errors.

  • Verify network (Devnet/Mainnet) before signing transactions.
  • Double-check token mints and pair direction (base/quote).
  • Confirm range and slippage match your strategy.
  • Keep extra SOL for rent and network fees.
  • Use explorer links after each step to confirm finalization.

Liquidity guide by page

Quick text descriptions for each Liquidity route.