// Fund Market Page Data // This file contains static data for the Fund Market page // TODO: Replace with API calls in production export interface StatsData { label: string; value: string; change: string; isPositive: boolean; } export interface Product { id: number; name: string; category: string; categoryColor: "blue" | "green" | "orange" | "purple" | "red"; iconType: "us-flag-1" | "us-flag-2" | "hk-flag" | "sg-flag" | "uk-flag"; yieldAPY: string; poolCap: string; maturity: string; risk: string; riskLevel: 1 | 2 | 3; lockUp: string; circulatingSupply: string; poolCapacityPercent: number; } export const fundMarketStats: StatsData[] = [ { label: "Total Value Locked", value: "$465.0M", change: "+2.4%", isPositive: true, }, { label: "Cumulative Yield", value: "$505,232", change: "+2.4%", isPositive: true, }, { label: "Your Total Balance", value: "$10,000", change: "+2.4%", isPositive: true, }, { label: "Your Total Earning", value: "--", change: "+2.4%", isPositive: true, }, ]; export const fundMarketProducts: Product[] = [ { id: 1, name: "High-Yield US Equity", category: "Quant Strategy", categoryColor: "blue", iconType: "us-flag-1", yieldAPY: "22.0%", poolCap: "10M", maturity: "05 Feb 2026", risk: "Medium", riskLevel: 2, lockUp: "12 Months", circulatingSupply: "$2.5M", poolCapacityPercent: 75, }, { id: 2, name: "HK Commercial RE", category: "Real Estate", categoryColor: "green", iconType: "hk-flag", yieldAPY: "22.0%", poolCap: "10M", maturity: "05 Feb 2026", risk: "LOW", riskLevel: 1, lockUp: "12 Months", circulatingSupply: "$2.5M", poolCapacityPercent: 75, }, { id: 3, name: "High-Yield European Bonds", category: "Fixed Income", categoryColor: "orange", iconType: "us-flag-2", yieldAPY: "22.0%", poolCap: "10M", maturity: "05 Feb 2026", risk: "High", riskLevel: 3, lockUp: "12 Months", circulatingSupply: "$2.5M", poolCapacityPercent: 75, }, ];