Code written based on this research report
steps:
- choose h and l
- calculate sigma, and price range of liquidity position will be 1-sigmal, 1+sigmah
- Calculating how to allocate funds in a portfolio.
- Supply usdc to aave
- borrow eth
- add liquidity.
- if net value has changed to 98% or price if out of position price range, adjust the portfolio
performance
item | value |
---|---|
Start period | 2024-03-01 00:00:00 |
End period | 2024-10-16 23:00:00 |
Duration | 230 days 00:00:00 |
Return | 332.10468 |
Rate of Return | 0.033212 |
APR | 0.053217 |
Max Draw Down | 0.036655 |
Sharpe Ratio | 0.351987 |
Volatility | 0.06596 |
Alpha | 0.073625 |
Beta | 0.063675 |
Benchmark return rate | -0.216111 |
Benchmark APR | -0.320504 |