V 1.1.0| 🦠Dividend Slime -- high AR mutant | 🧪 Proteus 🧬 | Daily | BT June 27 2022 | 1829.9% AR, 3% MD, 34.0% std. dev, 9.01 Sharpe (Dec13-2022)
Today’s Change (Mar 17, 2026)
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A symphony is an automated trading strategy — Learn more about symphonies here
About
A dense, regime-aware, daily-rebalanced system that anchors on SCHD/DBMF/KMLM for dividend income while dynamically adding leveraged and hedging ETFs to chase upside and limit losses across market regimes.
This strategy runs every day and starts with a dividend stock core (SCHD, DBMF, KMLM) intended to be held long-term for income. Around that core, it chooses a mix of other ETFs (often leveraging tech, broad market, or volatility-related funds) based on a big decision tree. The tree looks at market signals like price trends, momentum, volatility, and relative strength to decide which assets to buy or reduce, and how much to weight them. It uses top/bottom ranking within groups to pick assets and then applies weights to determine exposure. It also uses hedges and skewed bets (like 3x leveraged ETFs and volatility products) to amplify upside when conditions look favorable while backing off when signals warn of risk. The system is designed to adapt to different market regimes (bullish, sideways, or bear) and to reduce leveraged risk by lowering exposure to the most aggressive bets. A no-K-1 version is planned; costs and taxes will depend on actual implementation. The intent is to maximize dividend income while maintaining a diversified, risk-managed growth profile.
Familiar tickers included here ( SCHD, SCHG, DBMF, KMLM, SPY, QQQ, SOXL, TECL, TQQQ, SPXL, UPRO, UVXY, VIXY, SVXY, TMV, TMF, BIL, DBC, UUP, ARK-related ETFs ) reflect the blend of dividend focus, growth tilt, and macro hedges embedded in the tree. The exact rule-sets drive which assets are chosen day-by-day, and the weights adjust to emphasize or de-emphasize leveraged bets as market conditions evolve.
Regime-aware daily-rebalanced strategy anchored in dividend stocks (SCHD/DBMF/KMLM) with tactical leverage and hedges. Out-of-sample: ~40% annualized return vs ~21% SPY; Calmar ~1.51, Sharpe ~1.30— higher upside with disciplined risk control.
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Invest in this strategy
OOS Start Date
Dec 14, 2022
Trading Setting
Daily
Type
Stocks
Category
Quantitative multi-asset, dividend income focus, risk-managed leverage, daily rebalance, tax-densitivity aware
Tickers in this symphonyThis symphony trades 78 assets in total
Ticker
Type
AGG
iShares Core U.S. Aggregate Bond ETF
Stocks
ARKF
ARK Blockchain & Fintech Innovation ETF
Stocks
ARKG
ARK Genomic Revolution ETF
Stocks
ARKK
ARK Innovation ETF
Stocks
ARKQ
ARK Autonomous Technology & Robotics ETF
Stocks
ARKW
ARK Next Generation Internet ETF
Stocks
ARKX
ARK Space & Defense Innovation ETF
Stocks
BIL
State Street SPDR Bloomberg 1-3 Month T-Bill ETF
Stocks
BITI
ProShares Short Bitcoin ETF
Stocks
BITO
ProShares Bitcoin ETF
Stocks