Getting Started

Running validators at scale and maintaining a competitive APR can be challenging. Our API provides a simple yet powerful interface for delivering top tier Ethereum staking to you and your customers. This guide outlines the high-level workflow for both institutional partners and their customers.

We offer two products tailored for different use cases:

  • Enterprise Staking: Designed for institutions managing significant amounts of Ether, integrating staking into their own products while maintaining full control over their assets.
  • Retail Staking: A solution for institutions that enable their customers to stake validators on Ethereum while retaining custody over their funds.

Enterprise Staking

Our Enterprise Staking solution allows institutions to maintain full custody of their Ether, while we handle the technical complexities.

Key Features:

  • Flexible Custody Options: You can decide whether to retain custody of validators, delegate it to your customers, or apply a mix of both.
  • Comprehensive Reporting: Receive detailed monthly reports covering rewards earned across both execution and consensus layers.
  • Advanced Monitoring: Track rewards with block-level granularity and seamlessly integrate data into your ETL processes.

Retail Staking

Our Retail Staking solution enables institutions to their customers to stake validators on Ethereum.

Key Features:

  • Non-Custodial: Customers retain full control over their Ether.
  • Smoothing Fee Pool: A specialized pool designed to optimize yield for your customers.
  • Tailored Solutions: Custom setups for validator distribution and fee pools.

Public & Secure API Keys

For authentication, you will need API keys specific to your use case:

Use the appropriate key in your API requests for authorization.


Stake Validators

We offer dedicated staking guides for both product types, ensuring you can get started quickly and easily:

Each guide walks through the step-by-step process of setting up your first validator on Ethereum.


Exit & Withdraw Validators

Whether you want to prepare for a future validator exit or withdraw immediately, we provide detailed documentation for both institutional and customer use cases:

This section covers how to exit a validator using a prepared exit message or through a secured signature-based method.


Monitor Validators

Monitoring is essential to keep track of your rewards. We offer dedicated monitoring guides:

These documents provide insight into tracking deposits, monitoring validator status, and understanding the full validator lifecycle from activation to exit.


Rewards & Billing

Understanding your staking rewards and managing billing is crucial for optimizing profitability. We provide comprehensive guides to help track and understand both consensus and execution layer rewards:


Fee Pool

The Fee Pool offers unique way for distributing validator rewards across your all of your customers. These documents help you understand its lifecycle and how to optimize it:

This section also details how to claim rewards and track historical performance through the Fee Pool.