PactFi MCP
Server Configuration
Describes the environment variables required to run the server.
| Name | Required | Description | Default |
|---|---|---|---|
No arguments | |||
Instructions
Guidance the server publishes about itself, which clients place ahead of the tool catalog so the model reads it before choosing anything.
This server publishes no instructions, or was last inspected before Glama recorded them.
Capabilities
Features and capabilities supported by this server
Protocol revision2025-11-25
| Capability | Details |
|---|---|
| tools | {
"listChanged": true
} |
Tools
Functions exposed to the LLM to take actions
| Name | Description |
|---|---|
| get_poolsA | List PactFi AMM liquidity pools on Algorand with optional filters. Returns pool metadata, TVL, volume, and APR. |
| get_poolA | Get detailed PactFi pool information by application ID. Returns on-chain reserves, fee configuration, LP supply, and API metadata. |
| get_quoteA | Get a swap quote from PactFi using constant-product AMM math. Computes expected output, fee, price impact, and minimum received after slippage. Provide either a poolAppId or fromToken+toToken symbols to auto-discover the best pool. |
| swap_txnA | Build unsigned transactions to swap tokens on PactFi. Returns base64-encoded transaction group for signing via UluWalletMCP. Finds the best pool automatically if poolAppId is not specified. |
| add_liquidity_txnB | Build unsigned transactions to add liquidity to a PactFi pool. Returns base64-encoded transaction group for signing via UluWalletMCP. |
| remove_liquidity_txnA | Build unsigned transactions to remove liquidity from a PactFi pool. Returns base64-encoded transaction group for signing via UluWalletMCP. |
Prompts
Interactive templates invoked by user choice
| Name | Description |
|---|---|
No prompts | |
Resources
Contextual data attached and managed by the client
| Name | Description |
|---|---|
No resources | |
TDQS
Scored across 6 tools
Each tool has a clearly distinct purpose: get_pools vs. get_pool differentiate list vs. detail, get_quote is a read-only calculation, swap_txn builds a swap transaction, and add/remove_liquidity_txn are separate liquidity actions. Descriptions reinforce these boundaries, leaving no realistic chance of misselection.
All tools follow a consistent snake_case verb_noun convention (get_pools, get_pool, get_quote, swap_txn, add_liquidity_txn, remove_liquidity_txn). The '_txn' suffix consistently marks transaction-building tools, and the singular/plural distinction in get_pool vs. get_pools is natural.
Six tools cleanly cover the core AMM operations: pool discovery, pool detail, quoting, swapping, and adding/removing liquidity. There is no redundancy or filler; each tool earns its place.
The surface covers the essential swap and liquidity lifecycle, but there are minor gaps such as querying a user's existing LP positions or accrued fees. These are plausible additions that agents could lack, though core workflows are fully supported.