Захистіть гаманець і спосіб відновлення
Перевірте резервні копії, доступ до пристрою та дозволи на витрачання без розкриття секретів.
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Перевірте резервні копії, доступ до пристрою та дозволи на витрачання без розкриття секретів.
Розрізняйте інтерфейс гаманця, публічну адресу, ключі підпису та резервну копію.
Identify assets by network and contract or mint, not by ticker or logo.
Understand public destinations, account models and why matching text is not enough.
Distinguish connecting a wallet, sending tokens and authorizing future spending.
Use a transaction identifier (Ethereum hash or Solana signature) to find its status, inspect the result, and confirm the network, asset, and recipient.
Set up a new account and verify its recovery model before funding it.
Compare trusted displays, recovery methods and the transactions a device can explain.
Choose an account interface by custody, permissions, recovery and network support.
Use simulations, allowance viewers and warnings as evidence with clear limits.
Reduce avoidable custody and signing failures without adding unnecessary complexity.
Use a small test and explicit checks to reduce uncertainty before repeating an onchain transfer.
Explore Ethereum and Solana fee models with local calculations, without connecting a wallet.
Use public records to verify transactions while recognizing indexer and label limitations.
Pause requests that exploit urgency, familiar branding or misunderstood permissions.
Compare timing, network choice and transaction count against the cost of moving or failing.
Use the trusted display and preserve the separation of signing keys from everyday software.
Prepare a transfer, review its destination and check the recorded result.
Understand a price target, backing, redemption and depeg risk.
Understand shared records, blocks and the limits of public verification.
Follow a transaction from your wallet to a block, and understand what a confirmation actually tells you.
Distinguish execution costs, priority, asset value and application charges.
Read a program as rules with dependencies, permissions and possible bugs.
Inspect a token allowance before granting permission that can outlive one transaction.
Compare a collateralized loan with selling, including interest and liquidation exposure.
Verify route details, destination delivery and any required claim step.
Trace what leaves one network and what you receive on another.
Reconcile the market’s safety measure and model changes before relying on an alert.
Calculate loan-to-value and understand why borrowing capacity moves.
Trace an activity through the interface, contracts, assets and people controlling them.
Compare issuers, backing, custody and exit routes rather than counting tickers.
Compare the asset delivered, verification model, waiting periods and return journey.
Compare execution routes, minimum output, permissions and total swap cost.
Compare collateral rules, liquidity, rate changes and emergency powers.
Use dashboards for visibility without confusing estimates with withdrawable value.
Trace who pays a return and compare it with the risks and cost of leaving.
Follow supplied assets, variable interest and the conditions for withdrawal.
Understand rollup execution, settlement and the assumptions behind cheaper transactions.
Understand thresholds, health factor and why a safety buffer needs monitoring.
Understand pool inventory, price impact and why an available balance is not always an available exit.
Compare the benefit of a destination with bridge, asset and exit dependencies.
Review projected debt health before borrowing and inspect the resulting position.
Reduce exposure to forced liquidation while recognizing that monitoring can fail.
Separate repayment from collateral withdrawal and account for accrued interest.
Reduce a supported onchain allowance and verify that the change took effect.
Separate protocol staking from lending, receipt tokens and advertised rewards.
Distinguish a deposit from enabling it to support debt.
Review the route, permissions and final asset movements for a swap.
Cross-check a deployed address, source information and upgrade permissions.
Understand recovery, batching and sponsored fees without assuming security disappears.
Choose assets and a range, review permissions and verify the position received.
Compare signer thresholds, recovery and modules that can bypass ordinary approvals.
Distinguish login statements from permits, orders and other actionable authorizations.
Distinguish reducing a position, collecting fees and converting what you receive.
Separate an onchain token from enforceable rights to an offchain asset.
Understand arbitrage, liquidations and sandwiching before increasing slippage.
Compare earned fees with changing asset exposure, adverse selection and exit costs.