For the official market and infrastructure details, see the Hyperliquid documentation.
What Hyperliquid handles
In practice, Hyperliquid handles:- order books and matching
- spot and perp market infrastructure
- margin checks
- liquidations
- deposits and withdrawals through its bridge model
- contract specifications for perps
What Entry Finance handles
Entry Finance works on top of that infrastructure and focuses on the user experience. It turns the underlying onchain trading system into a more understandable and more connected terminal, where markets, execution, balances, and account-level visibility are easier to use in one place.Why this matters
This structure gives users two advantages at the same time:- the liquidity and market model of Hyperliquid
- an interface optimized for convenience, clarity, and a connected account experience