Trading Strategy

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Trading Strategy

@TradingProtocol

Algorithmic trading protocol for decentralised markets. Automated non-custodial trading, execution directly on-chain across DEXs.

Entrou em Ekim 2021
1.5K Seguindo4.8K Seguidores
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Trading Strategy
Trading Strategy@TradingProtocol·
Check the latest self-custodial open strategies here: tradingstrategy.ai The Open Strategies #trade automatically on #DEXes and #DeFi protocols. Trading capital is in on-chain vaults so you can withdraw your crypto whenever you want.
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D2 Finance
D2 Finance@D2_Finance·
Credit to @TradingProtocol for the great graphic and great timing !
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D2 Finance
D2 Finance@D2_Finance·
~$50B in USDC sitting on Ethereum earning less than a T-bill. We built something for that. 🟩 d2Earn — fixed-term deposits, fixed-term predictable yield. → Targets 6% APR, rate locked before you deposit → D2 is the single counterparty → Collateral publicly verifiable on @DeriveXYZ Launching within the next Alpha Strategies (HYPE++) epoch time frame. D2. EARN MORE @D2.Finance/introducing-d2earn-fixed-yield-on-usdc-backed-by-d2s-on-chain-platform-bcdd2fb633d6" target="_blank" rel="nofollow noopener">medium.com/@D2.Finance/in…
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Trading Strategy
Trading Strategy@TradingProtocol·
@nunchi Did you do a walk-forward analysis to determine if, instead of well-chosen fixed parameters, the parameter adjustment over a rolling window would give better or more realistic results?
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Trading Strategy
Trading Strategy@TradingProtocol·
THE MOST IMPORTANT CHART IN DEFI This shows the amount of capital (TVL) in vaults that is earning more than the risk-free rate. - US Treasury notes 3.2% - US banks' savings rate 0.39% Currently, $24B, or 2/3 of DeFi capital, is doing better. tradingstrategy.ai/trading-view/v…
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Trading Strategy
Trading Strategy@TradingProtocol·
pedma@pedma7

so today is one of those days for me I have to strap in to my chair and hold on for dear life. woke up to portfolio being down -6%. at first I thought it was an error from the exchange and I wasn't getting the proper balances but after further checking, nah, i ate that loss fair and square. it's pretty obvious that I am net short for a long time and making money that way, so I expect pain at reversals of that trend. but wasn't expecting this much. digging a bit into my data I detected that almost 50% of my exposure is memecoin short exposure, which can be a problem knowing how redacted the memecoiners can be when these things pump. now in theory, this should be handled by my correlation measures. naturally when the portfolio is very correlated we decrease positioning to reflect that. however as crypto has been turning green and the portfolio reflected that, our short term correlation has been trending down because our book is becoming more market neutral than what once that was. as correlation goes down, model increases gross exposure. this means that I am carrying a large position (both long and short), but the violent move off the lows, specifically in memecoins, is really dragging my portfolio down today and the long side was not able to offset that as its a sector specific move. well the next reasonable think to do is perhaps to put a celling on the exposure a single sector is allowed to carry.

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PM@hyperbulla·
some days we post red days, other days we post green but when u zoom out, the PnL is always going up choose your hyperliquid vault wisely choose pmalt for consistency!
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Trading Strategy
Trading Strategy@TradingProtocol·
We have a glossary for these: tradingstrategy.ai/glossary/sharpe We are going to introduce more metrics because metrics are not one-size-fits-all. For lending vaults, Sharpe is a poor metric, as it tends to approach infinity on zero-volatility lending curves, and comparing Sharpes on lending vaults rarely makes sense. For example.
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Jordi in Cryptoland
Jordi in Cryptoland@lordjorx·
The math behind "predictable" yields. I’ve been analyzing @TradingProtocol and their use of the Sharpe Ratio, a classic finance metric that is incredibly useful if you know how to read it. The formula is simple: you take the vault's return, subtract the risk-free rate (which I calculated to be around 3.7% based on current US bonds), and divide it by the standard deviation. Why does this matter? Because investors love predictability. > Low standard deviation = Stable yield (e.g., always 10%). > High standard deviation = Volatile yield (20% one day, 4% the next). A high Sharpe Ratio (anything over 1 is good, over 3 is insane) usually means the yield is very stable and way better than the bonds. We are seeing some @ipor_io vaults with numbers that honestly seem like a glitch because they are so high. But there is a hidden danger. These formulas don’t account for smart contract risk. A friend gave me a great idea: we should add an "insurance premium" to the equation. If we subtract the cost of a cover from @NexusMutual from the yield, the Sharpe Ratio would look very different. Even if that cover only protects the underlying protocol and not every single strategy, it would give us a much more realistic view of the risk. DeFi is a minefield. A high Sharpe Ratio is great, but it doesn't mean an exploit isn't around the corner.
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robot
robot@robotevm·
1/ a thread on trade revert rates among aggregators. bad timing because someone lost $50m, i know, but lock in with me. these are onchain reverts on @matchametaxyz after confirming a trade, not failed simulations.
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Trading Strategy
Trading Strategy@TradingProtocol·
@HubertX13 @vaultsfyi We do not account for any airdrops, points, or the like. Our statistics are based purely on historical returns.
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Hubirb 🐘👀
Hubirb 🐘👀@HubertX13·
@TradingProtocol @vaultsfyi Nice stats! I think the other vaults on lagoon with "higher" return all assume some value on future airdrop rewards, so if you only account for liquid rewards, I am pretty sure we should be #1, but I am happy to be proven wrong.
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Hubirb 🐘👀
Hubirb 🐘👀@HubertX13·
Hub Capital celebrates its 6 month anniversary, and simultaneously reaches $1M in TVL for the first time in its history, while staying at the top of the board on @vaultsfyi ! Consistent outperformance over the past half year has led more and more farmers to join the family! app.lagoon.finance/vault/1/0xca79…
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Saneel
Saneel@sanlsrni·
As oil crosses nearly $1B+ in traded volume on Hyperliquid, I made a real-time dashboard tracking WTI/Brent futures curves + volume/OI for traders. Notably, summer month expiries spiked today. Markets are pricing in prolonged shortages. Check it out: oilfuturescurves.vercel.app
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Ben Harvey
Ben Harvey@0xbenharvey·
We surveyed/analysed 25 crypto treasuries and found: - 93% of capital sits idle - 7% AUM is income-generating - Existing management hasn't caught up with available strategies Report w/ @safe and @dl_research out tomorrow Insights from @BaptisteCota of @MidasRWA, and @eshita
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L2BEAT 💗
L2BEAT 💗@l2beat·
Meanwhile, transfers through systems like CCTP (by @circle), CCIP (by @chainlink), and @LayerZero_Core often appear in large transfer buckets ($100k+). The largest transfers through these protocols over the past 24h were all >$1M.
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