Strategy classification:
1. The long-term strategy was tested and survived and arbitraged in the BTC crash of May and November '21 and April '24. Earn a steady revenue with these strategies.
2. The short-term strategy (< 30 days) is based on the recent cryptocurrency, stock market and economic environment, maintaining a low drawdown while maximizing gains. These strategies are riskier than the long term, and I will turn on/off them in a timely manner depending on the marketplace conditions.
Control Risks:
During the testing period, > 30% margin to maintain the survival of the bot.
Personally, I take the safe route and use a higher margin. Margin Conversion:
10X Leverage: 100% of the initial investment
Don't use "Auto-conversion margin". I personally tested that it will be flattened when there is a lot of volatility.
If you have any questions, please contact us by email:
humble.sculls.0r@icloud.com
This is an AI translation and is for reference only.