Our public signals are shown with a 1 day lag. Please register for a free account to receive signals for Bitcoin, stocks and bonds as soon as they become available. Or sign up for a crypto or premium account to also get access to our other signals. These signals include 40+ models including Cosmos, Crude oil, Inv Grade Credit, EM Equity, Polkadot, Filecoin, Euro Stoxx 50, Ripple, Euro, VeChain, Stellar, Binance Coin, ChainLink, Bitcoin Cash, SUSHI, Global High Yield, FARM, YFI, EM LC Bonds, and Monero.
Last update: 5811.4 hours ago (traditional assets) and 2741.2 hours ago (crypto)
Win rate for signals shown: NAN%. Overall win rate all signals since inception: 41.6%
Average profit of long/short signals shown: +21.6%, average loss of long/short signals shown: -5.6%
Total SI return: +114.8% (model portfolio) and +560.1% (crypto model portfolio)
|Date open||Date closed||Days||Asset||Signal||Return||Result|
Cardano is a decentralized, blockchain based system, powered by the ADA coin, the cryptocurrency which runs on the Cardano platform. Much like Ethereum, it is a smart contract-based system and can be used to run Decentralized Apps (called DApps). But Cardano is a layered system; i.e. it has a separate layer which runs ADA exchange, and a separate one which runs the Smart Contracts. Cardano claims to be the first cryptocurrency which runs on a scientific peer review, which ensures its safety.
The easiest way to trade Cardano is through cryptocurrency exchanges like Binance.
We also recommending transferring your ADA to a hardware wallet like Ledger or Trezor then connecting it to Yoroi (light-wallet) or Daedalus (full-node) where you can stake it and earn 5% APY. Please consider supporting our pool ||LSS|| Cardano Stake Pool.
We believe that a win rate above 60-70% is feasible in the longer term. Not every signal is going to beat it out of the ball park, and the quality and health of all models varies as some have a harder time grasping market dynamics. But systematic implementation of our signals has so far proven to be able to beat the market by a wide margin, offering far better risk-adjusted returns.
We believe that implementing our signals in context of our model portfolio is critical as this introduces an intelligent risk based weighting and also adjusts for historical success rates. For instance, there may be periods where our signals underperform (say win rates of only 25%), while the model portfolio itself is barely invested and therefore not really impacted.
The daily signal update completes by 4am UTC, which currently translates to roughly noon in Singapore, midnight in New York, or 5am in London.