Quantum Fusion is a dynamic trading strategy that blends trend-following and mean-reversion to capture long-term trends and short-term market corrections. Customized single-coin signals and user-configurable leverage allow you to build a portfolio with your favourite coins, optimizing for steady growth and rapid profit opportunities in any market condition.

Quantum Fusion | SYGNAL

Overview*

Type:
Trend following, Mean-reversion
Asset class:
Crypto Futures
Instruments:
Top 28 crypto futures
Total return:
197.33%
Annual return:
36.48%
Max Drawdown:
-9.58%
Sharpe ratio:
2.59
Frequency:
Hourly
See it in action

*Hypothetical backtests January 1, 2022 to September 2024. Results assume an equally weighted portfolio of 25 instruments with 1x leverage

Summary

Quantum Fusion is a flexible trading strategy that combines 60% trend-following with 40% mean-reversion. The trend-following part identifies long-term (days to weeks) and short-term (hours) market trends. At the same time, the mean-reversion aspect capitalizes on sharp declines and fast recoveries. This blend allows for consistent growth and quick profit potential, turning every market situation into an exciting opportunity.

Unlike a fixed portfolio, Quantum Fusion provides single-coin signals, allowing traders to customize their portfolios by selecting their preferred assets. This flexibility lets you optimize your strategy based on market preferences and risk tolerance.

With Quantum Fusion, you're in control. Leverage can be set at 2x by default to enhance returns without excessive risk. You can adjust to 3x in stable markets or reduce to 1x in volatile conditions. Quantum Fusion's strength is unlocked when applied to various assets, maximizing the benefits of long-term trends and short-term corrections. The strategy is available for automation on supported platforms.

Supported Assets

$ADA, $AAVE, $APT, $AR, $ATOM, $AVAX, $BCH, $BNB, $BTC, $DOGE, $DOT, $ETH, $ETC, $FIL, $HBAR, $ICP, $IMX, $INJ, $LINK, $LTC, $MKR, $NEAR, $SOL, $STX, $TRX, $UNI, $XLM, $XRP

See in Action

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Track Record Audit

Instrument Signal Model Status View Trail

The Track Record Audit offers a meticulous verification of each signal generated by the strategy, focusing on the signal's value at the time of issuance. This detailed audit reflects our dedication to transparency and accuracy, providing our users with a clear view of the strategy's operational integrity. By examining the real-time value of each signal, investors gain a deeper understanding of the strategy's responsiveness to market conditions, empowering them to make well-informed decisions grounded in precise, signal-based insights.

The audit process meticulously tracks the issuance of each signal, capturing its value at the precise moment of generation. This rigorous approach not only ensures the authenticity and reliability of the data but also showcases our strategy's performance in real-time market scenarios. Furthermore, to guarantee the utmost integrity and immutability of the audit trail, all records are securely stored on the Ethereum blockchain. This blockchain integration not only enhances the audit's credibility but also provides a tamper-proof ledger, allowing investors to verify the historical accuracy and consistency of our signals with unparalleled confidence.

WHAT YOU NEED TO KNOW ABOUT THE SIGNALS

Our signals ("the Signals") are based on mathematical or statistical models, which academics and practitioners use in the context of financial markets. For instance, they give an indication for a certain trend, a relative valuation or a price pattern. Our Signals are typically sourced from leading practitioners like professional quantitative research firms. Before accepting a Signal to the platform, we analyse the quality and characteristics of the historic signal time series and assess the quality of the person, team or firm supplying the Signals. Despite our best efforts, we can give no guarantee as to the future quality of the Signals and the providers of the Signals (Signal Managers). Signals, which might have been value adding in the past, might not be value adding in the future, due to a changing market structure, changing market inefficiencies, changes in the model methodology and many other reasons.

A Signal must therefore NEVER be used as the sole input or trigger for a trading decision. It can only be regarded as one of many input factors in making your own investment decision.

You should therefore treat a Signal similar to Price / Earnings information of a stock: It can be a helpful information to evaluate the attractiveness of a stock or another financial instrument, but it is only one piece of information. You will need additional information before you can make a sound investment decision.

SYGNAL therefore excludes all liability related to the Signals or any other services provided by us or any related party. Any use of the Signals, in whatever context or way, will be at your sole responsibility and YOUR COMPLETE OWN RISK.

You must fully understand and accept these terms before using our services.

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