Risk Managed strategies

Systematic risk managed strategies in live paper trading, each with its observed drawdown, risk-adjusted score, and observation period. Figures the public record does not contain are marked as not reported.

3 published strategies; best observed Sharpe 0.00; latest update 2026-10-09.

#StrategyMarketEvidenceTotal returnWorst drop (max drawdown)Score
1Dynamic Regime Sector Low VolatilityGLDLive paper since 2026-10-06 (1 days)-0.34%-0.34%68.8
2Regime Switch Bot ETH/USDT AETH/USDTLive paper since 2026-09-09 (30 days)-0.06%-0.10%62.0
3Regime Switch Bot ETH/USDT BETH/USDTLive paper since 2026-09-09 (30 days)-0.10%-0.16%61.9

Paper = simulated orders on live prices, not real money.

Disclosure. Delayed public analytics for education and research only. Paper and simulated results are not live trading and do not guarantee future results. Nothing here is investment advice, a trading signal, copy trading, or customer fund management.