📢 Important statement for copyists and followers.
A radical change in strategy and this change will be implemented after the portfolio has fully recovered.
Since altcoins have experienced a breakdown in correlation to the Total Market Cap Index over the past year, we decided to approach it mathematically and simply to prevent it from happening in the future.
We have reworked the exposure method in the risk system.
We have added a simple rule to assess where the hot money is in the crypto market before performing the rest of the operations we do to select assets.
---
The rule we have added is simple:
💲Where is the money?
---
The relationship we formulated:
◾Crypto to Gold ratio = Total Market Cap / Gold
CRYPTOCAP:TOTAL/TVC:GOLD
◾Top 10 to Others ratio = (TOTAL-OTHERS)/OTHERS
(CRYPTOCAP:TOTAL-CRYPTOCAP:OTHERS)/CRYPTOCAP:OTHERS
---
🔥Risk-off
Crypto to Gold ratio: Falling
"it is a signal that money is leaving the crypto market."
🔵 Action: Take Cash and Gold.
◾If the money is in gold, we will buy gold and stablecoins with 100% exposure.
🔥Risk-on (Two Mode)
If the money is in the crypto market, determine where the money is, is it in the Top 10 or in Total Market Cap ex-Top 10?
🔥Risk-on [Top 10 Mode]
◾Crypto to Gold ratio: Rising
◾Top 10 to Others ratio: Rising
🔵 Action: Take Top 10.
"It is a signal of money entering the cryptocurrency market and a sign of money entering the leaders."
◾We will use sampling techniques and determine the appropriate cut line for the sample according to the power law.
🔥 Risk-on [Total Market Cap ex-Top10 (OHTERS) Mode]
◾Crypto to Gold ratio: Rising
◾Top 10 to Others ratio: Falling
🔵 Action: Take ALT's.
"It is a signal of money entering the cryptocurrency market and money entering altcoins."
◾If the money is in altcoins, buy assets that meet our criteria for market cap, liquidity and risk ratios and are listed in the:
◾ Blockchain Infrastructure sector with 50% exposure
◾ Infrastructure Applications sector with 50% exposure
according to our classification system.
🔹Mr Jaradat Portfolio
A systematic strategy based on mathematical model (data-driven) to determine the optimal position for taking additional risks, which is mainly based on the analysis of the trend, momentum and correlation of the assets in this crypto strategy with market indices.
You can take a look at our Digital Assets Classification Standard here.
You can take a look at our Framework for evaluating a cryptocurrency project here.
Thank
@Reytrade You are welcome! Good luck! 🍀