Balancer Pool Manager
Free to download on every platform. Comes pre-installed on BotFone, BotPad and BotFlip — with extra free apps included.
About this app
WHAT IT DOES
Balancer Pool Manager provides comprehensive management and analytics for any Balancer pool on EVM-compatible chains. It reads and displays Balancer pool contract state including pool token balances for all tokens in the pool, pool token weights for weighted pools, pool swap fee for trading costs, pool total supply for LP token market cap, pool LP token price for valuation, pool amplification factor for stable pools, pool wrapper state for nested pools, pool gauge state for reward programs, pool reward rates for yield, pool staking APR for returns, pool liquidity for depth, pool volume for activity, pool TVL for protocol health, pool historical data for trends, pool ownership info for governance, pool pause status for emergency state, pool token metadata for identification, pool ID for unique identification, pool type (Weighted, Stable, MetaStable) for classification, pool tokens list for asset composition, pool weights for token allocation, pool swap fee for cost analysis, pool admin fee for protocol revenue, pool management fee for pool operators, pool owner for governance, pool upgrade status for version tracking, and pool event history for monitoring. All data is organized in a clean dashboard with pool metrics, token weights, and fee structure.
HOW TO USE
Connect your wallet to the tool and select the network where your Balancer pool is deployed. Enter the Balancer pool contract address and select the pool type (Weighted, Stable, or MetaStable). Click "Manage Pool" to fetch and analyze the pool state. The tool will query the pool contract for pool ID, swap fee, admin fee, management fee, total supply, LP token price, TVL, staking APR, pause status, and owner. Results are displayed in organized cards showing these metrics. The pool tokens section shows each token's name, address, weight, and balance. The tool works with any EVM-compatible Balancer pool contract.
THE MECHANISM
Balancer Pool Manager performs client-side analysis of Balancer pools by querying multiple contract functions and aggregating results. The tool connects to the pool contract using the provided address and queries state variables including getPoolId() for pool identification, getSwapFeePercentage() for swap fees, getOwner() for ownership, totalSupply() for LP token supply, and getTokens() for token list and weights. For stable pools, the tool queries getAmplificationParameter() for the amplification factor. Gauge state and reward rates are queried from the gauge contract if available. The tool simulates the process of connecting to a Balancer pool contract, reading multiple state variables, and aggregating the data into meaningful metrics.
WHAT IT CANNOT SEE
Balancer Pool Manager cannot verify that the pool data is accurate without running a full node, as it relies on the RPC endpoint for data. The tool cannot detect if the pool is under active attack or has been exploited, as that requires real-time monitoring of all transactions. It cannot predict future pool performance or APR rates, as those depend on market conditions. The tool cannot verify that the pool's weight configuration is optimal, as that depends on pool strategy. It cannot guarantee that the pool will remain liquid or solvent, as that depends on market conditions. The tool cannot detect if the pool's fee structure has been manipulated, as that requires monitoring governance activity.
PLEASE NOTE
Balancer Pool Manager supports EVM-compatible chains only. The tool is a client-side analysis tool and does not execute or deploy code to any blockchain. Analysis results are for informational purposes only — always verify pool data and metrics before making financial decisions. The tool is free to use and does not store or transmit any data off-device. Always check pool documentation and audit reports before relying on analysis results.