Weekly update of my CopyTrader fund: This week has been highly volatile, which affected the accumulation. I also made larger adjustments to the volatility range and tighter profit-taking adjustments to have fewer bounces. Thus, the portfolio dropped by 41.26%, within the estimated range. Binance mentions that the maximum drawdown was -57.02%, but this is false, as it calculates based on the base capital, and since I added more capital to the portfolio, it started from there when losses accumulated. It is possible that next week there will be recovery, and even profits, especially with the modifications made.