Governance shows Ethereum governance contract addresses (governance, payloads controller, executor, voting machine, cross-chain controller when present) plus recent governance events from the live window. Contracts lists pool, configurator, oracle, collector, ACL, and related addresses for each market.
How to identify changes
- New asset listings: Live Activity All, kinds like asset_listing, plus a new row on Assets after the snapshot refreshes.
- Parameter changes: configurator logs (config_change). Then confirm LTV, threshold, or reserve factor on the asset page.
- Supply or borrow cap changes: same config path, then the cap fields on asset detail.
- Interest-rate strategy changes: may appear as config events; the visible effect is a different APY for the same utilization. Ronnie does not name the strategy contract on the asset KPI row.
- Oracle changes: governance/config events, then the Oracle address on Contracts and the asset page.
- Contract upgrades: Addresses provider and implementation changes are explorer-level. Contracts gives you the canonical addresses from the Aave address book Ronnie uses.