The main objective of the smart portfolio is to gain risk exposure when opportunities arise, through an algorithmic and automated strategy, by positioning itself in 13 assets by strategically adjusting asset and trade weightings dynamically based on market conditions.
We perform statistical pair trading and arbitrage operations in the markets algorithmically.
Our goal is to minimize risk by taking advantage of market discrepancies and inefficiencies rather than relying on beta trades.
Our cash and carry strategy is designed to capitalize on the risk premiums that exist between spot and futures contracts in the cryptocurrency market by systematically seeking the discrepancy of the two types of contracts.
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