My today’s proposal is to include one or more additional indicators of markets’ APR to consider its average in the last period (e.g. 7D, 30D, etc…). In this way users can have a greater understanding of what the performance will be in the medium term.
WHY: The actual APR showed is an instant value and it is highly subject to variations due to large capital movements on venus’ markets. An average APR could better support users to build a stronger medium term strategy