SRC- Oct'24-004
Today’s Change (Mar 17, 2026)
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A symphony is an automated trading strategy — Learn more about symphonies here
About
A momentum-oriented, inverse-volatility weighted multi-asset strategy mixing leveraged equity bets, crypto proxies, and Treasuries; it uses many rules to pick assets and shifts weight toward safer assets when signals weaken.
What it tries to do in plain terms:
- It builds a diversified mix of assets, including leveraged stock bets, crypto proxies, and cash-like safety assets.
- It looks at a lot of signals for each asset (momentum, trend, and relative strength) and uses a long chain of rules to decide which asset to own at any moment.
- If market signals look strong for a risky asset, that asset earns a place in the portfolio; if signals look weak, the system moves you toward safer cash-like assets (short-term Treasuries).
- Weights aren’t fixed every month; they shift based on how volatile each asset has been recently. The less volatile an asset is, the larger its weight (within a small cap), and the higher-volume, higher-volatility assets get smaller slices.
- It uses a mix of common signals (RSI, moving averages, price vs. moving averages) and risk checks (drawdowns, recent performance) to decide. The entire framework is constructed as a sequence of “if this condition is true, pick this asset; else pick that asset” decisions, with BIL often serving as the default fallback when conditions aren’t favorable.
- Overall, the strategy seeks to capture upside in momentum-driven bets (including some levered and crypto-linked exposures) while preserving capital by leaning into safer assets when signals deteriorate. It does not rely on a single indicator; instead, it uses many together to try to confirm a strong signal before allocating.
Out-of-sample edge: higher risk-adjusted returns and downside protection. OOS Sharpe 1.35 vs SPY 0.92; annualized return 21.36% vs 16.34%; max drawdown 9.63% vs 18.76%; Calmar 2.22. A diversified momentum-based mix with built-in risk controls.
1M
3M
6M
YTD
1Y
3Y
Max
Performance
Compared to selected benchmarks
| Alpha | Beta | R2 | R | |
|---|---|---|---|---|
| 0.35 | 0.24 | 0.05 | 0.23 |
Performance Metrics
| Cumulative Return | Annualized Return | Trailing 1M Return | Trailing 3M Return | Sharpe Ratio | |
|---|---|---|---|---|---|
| 72.65% | 19.79% | -1.77% | 0.2% | 1.27 | |
| 217.76% | 46.57% | 0.27% | 2.06% | 2.45 |
Initial Investment
$10,000.00
Final Value
$31,775.95Regulatory Fees
$38.58
Total Slippage
$224.38
Invest in this strategy
OOS Start Date
Oct 21, 2024
Trading Setting
Threshold 2%
Type
Stocks
Category
Equities, leveraged etfs, crypto-related etfs, inverse-volatility weighting, momentum/trend-following, risk controls
Tickers in this symphonyThis symphony trades 14 assets in total
Ticker
Type
BIL
State Street SPDR Bloomberg 1-3 Month T-Bill ETF
Stocks
BITO
ProShares Bitcoin ETF
Stocks
COIN
Coinbase Global, Inc. Class A Common Stock
Stocks
GBTC
Grayscale Bitcoin Trust ETF
Stocks
HUT
Hut 8 Corp. Common Stock
Stocks
IREN
IREN Limited Ordinary Shares
Stocks
QQQ
Invesco QQQ Trust, Series 1
Stocks
SHY
iShares 1-3 Year Treasury Bond ETF
Stocks
SOXL
Direxion Daily Semiconductor Bull 3X ETF
Stocks
SOXX
iShares Semiconductor ETF
Stocks