Overview performance, and key metrics.
This investment strategy offers a detailed long-term risk estimation for assets across the four-year macroeconomic cycle. Utilizing a dynamic Dollar-Cost Averaging (DCA) technique, it facilitates weighted adjustments to market exposure, enabling strategic increases and decreases based on market signals. It adopts a more aggressive approach to market exposition compared to conservative variants, resulting in medium risk levels. The strategy trades only Bitcoin and maintains long positions exclusively.