I consider it within the responsibilities that FLOT regularly balances NuLagoon. Weekly or biweekly, and when necessary. The exact amount of funds available on NuLagoon Tube is in fact up to the operators of NuLagoon.
So balancing NuLagoon should be based on NuLagoonâs reported liquidity, retrieved using getliquidityinfo. It is not very appropriate for FLOT to react just based on the balance on NuLagoon Tube; for instance, if NuLagoon and Polo are balanced but NuLagoon Tube is not, this should not trigger a rebalancing of NuLagoon by FLOT.