Portfolio of BTC, ETH and USDT. Long-term buy and hold with the periodic use of leveraged long/short positions to improve alpha. Objective: outperform the benchmark of a 60/40 BTC+ETH HODL portfolio.
Keuntungan
Profitabilitas (7 hari) | +18.10% |
---|---|
Profitabilitas (30 hari) | –20.18% |
Profitabilitas (90 hari) | +62.85% |
Profitabilitas (180 hari) | +79.07% |
Penarikan maksimum (Sepanjang waktu) | 81.24% |
Penarikan maksimum (30 hari) | 39.35% |
Rasio menang (Sepanjang waktu) | 68.42% |
Rasio kemenangan (30 hari) | 0.00% |
Profitabilitas (7 hari) | +18.10% | Penarikan maksimum (Sepanjang waktu) | 81.24% |
---|---|---|---|
Profitabilitas (30 hari) | –20.18% | Penarikan maksimum (30 hari) | 39.35% |
Profitabilitas (90 hari) | +62.85% | Rasio menang (Sepanjang waktu) | 68.42% |
Profitabilitas (180 hari) | +79.07% | Rasio kemenangan (30 hari) | 0.00% |
Keanggotaan COV | Pengikut | Platform | Manajer |
---|---|---|---|
Standard | 60% | 20% | 20% |
Advanced | 65% | 15% | 20% |
Premium | 70% | 10% | 20% |
Elite | 75% | 5% | 20% |
Peringatan Risiko: Trading dengan produk leverage memiliki tingkat risiko yang tinggi dan mungkin tidak sesuai bagi semua investor.