Optimise entries + exits.
Risk & reward management is all about timing (and a lot of data)
We tested this with our Strategic Partners and achieved +150% returns in 3 weeks (real $$).
By following the signals from the smartest traders, we now know which token is hot.
The next step is to optimise the timing of when to buy & sell, and at an acceptable price.
Algorithmically optimised entry / exit timing.
We have sophisticated trend volatility algorithms which analyse vast datasets, including historical prices and market trends, to determine the most favourable entry and exit points, thereby optimising your overall performance. It won't perfectly pick the bottom and the top, but has shown to generate favourable outcomes.
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