Quarter Opening: Deployment of Volatility and Systematic Execution. ๐๐
โThis is how we open the operational dashboard for our long and short positions, officially kicking off a new quarter of management.
โWeโve just been dealing with an atypical week, distorted by multiple holidays that dried up liquidity and increased price volatility. However, where the average trader sees chaos or uncertainty, our systematic infrastructure finds structure and executes unflinchingly. The model does not negotiate with noise; it responds purely to trend.
โOur automated exposure at the start of this quarter is distributed as follows:
โ๐ข Long Positions: SPY, EWY, EWJ, CL1! (Oil), HG1! (Copper), AAPL, NVDA, TSM, HOOD.
โ๐ด Short Positions: SIL1! (Silver), MSFT, PLTR, BABA, PYPL, COIN, GC1! (Gold), MSTR, BTC1!, ETHUSD, SOL1!, BNB, LINKU, XRP1!.
โWe begin a new cycle under strict Trend Following discipline. We leave predictions to others; we simply stick to the rules from the data.
โโ ๏ธ EXECUTION PARAMETERS (COPY INSTRUCTIONS):
โBase Capital: $20,000 USD (The minimum mathematical threshold required for our diversified risk calibration).
โCopy Mode: Select strictly 'Fixed Ratio' (Proporciรณn Fija). Itโs the only setting that ensures volatility brakes operate exactly the same in your account.
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