Accuracy Smart Crypto Strategy

@RevolvinCarloa

Strategi för kopiering av tillgångar

7 214,99 €

Antal kopierare

7

Accuracy Smart Crypto Strategy Strategins resultat

Visa BTC-jämförelse:
Från
mars 25, 2023
Till
apr. 1, 2023
Accuracy Smart Crypto Strategy
Bitcoin

Avkastning

Översikt
Genomsnitt per månad
Avkastning (24h)
+1,91 %
Avkastning (7D)
+4,07 %
Avkastning (1M)
+4,95 %
Avkastning (1Å)
−48,97 %
okt. 2019
-8.73%
nov. 2019
-16.66%
dec. 2019
-14.01%
jan. 2020
+45.96%
feb. 2020
-1.62%
mars 2020
-34.28%
apr. 2020
+37.3%
maj 2020
+0.36%
juni 2020
-6.51%
juli 2020
+35.64%
aug. 2020
+20.76%
sep. 2020
-17.16%
okt. 2020
+6.86%
nov. 2020
+38.39%
dec. 2020
+9.19%
jan. 2021
+56.2%
feb. 2021
+65.59%
mars 2021
+20.69%
apr. 2021
+37.29%
maj 2021
-19.01%
juni 2021
-8.78%
juli 2021
+4.4%
aug. 2021
+38.63%
sep. 2021
-3.7%
okt. 2021
+27.42%
nov. 2021
-1.35%
dec. 2021
-16.89%
jan. 2022
-23.27%
feb. 2022
+12.08%
mars 2022
+12.74%
apr. 2022
-18.08%
maj 2022
-30.47%
juni 2022
-24.01%
juli 2022
+20.65%
aug. 2022
-9.86%
sep. 2022
+3.71%
okt. 2022
+2.5%
nov. 2022
-19.08%
dec. 2022
-16.32%
jan. 2023
+40.44%
feb. 2023
-1.75%
mars 2023
+6.42%

Min investering

Hämtad vinst
0,00 €
0 %
Vinst/förlust
0,00 €
0 %
Du har:
0,00 €

Om denna strategi

The Challenge How can I invest in a diversified Cryptocurrencies portfolio? Investors in Cryptocurrencies usually fall under two main groups: Investors who have a very strong opinion about one or two specific cryptocurrencies which they think will be the best performing in the future (Bitcoin, Ethereum, Ripple, etc.) Investors who do not have a strong opinion about any specific cryptocurrency but are invested in them out of curiosity, learning interest, a gift, etc. These forms of investment have the disadvantage of being highly concentrated in one or very few positions, which causes the “sniper” effect. The Solution Accurate Smart Crypto Fund Uses Machine/Statistical Learning to: Create a diversified portfolio that give us exposure to the Asset Class Select the main Cryptocurrencies by Market Cap in the medium/long term Implement a “”Smart”” weight distribution based on factor analysis Reduce risk and maintain potential for appreciation (with the factor analysis) enhance the diversification and weighting of the components of the portfolio, as it analyzes variables such as Profitability, Volatility, Drawdown, Correlation, Liquidity, Market Cap, etc.
Strategistatus
No rules
Inga regler
0 regler aktiva
Ombalansering klar
Status för ombalansering
100 %

Avgifter för denna Strategi

(fastställd av Strategen)
Förvaltningsavgift
Kopieringsavgift (Årlig)
2,50 %
Anmälningsavgift
Resultatavgift (Monthly )
10,00 %
Exit-kostnadSälj-/exitkostnad (per transaktion)0,50 %

Strukturändringar

Senaste strukturändringen
5 mars 2023 18:41:39
Antal strukturändringar under de senaste 30 dagarna
1
Prestation
1D
7D
1M
3M
6M
1Y
All
Avkastning
+1,86%
+4,01%
+4,89%
+46,88%
+1,21%
−49,00%
+290,85%
Volatilitet
Ej tillämpligt
+2,05%
+2,76%
+2,83%
+2,76%
+3,11%
+4,06%
Max. Drawdown
Ej tillämpligt
−4,70%
−12,55%
−18,82%
−35,07%
−67,28%
−76,07%

No changes in the portfolio structure this week, our trading systems signal a continuation on current investments and weights..thanks..!