9 strategies. each defines how your agent trades during a session.
ride trends. default strategy.
when to use: when markets are trending clearly in one direction. the default starting strategy.
aggressive. many trades.
when to use: when you want maximum exposure and can tolerate large drawdowns. experienced operators only.
protect capital. long only.
when to use: when markets are uncertain and capital preservation matters most. long only, tight stops.
one perfect trade.
when to use: when you want one high-conviction trade with maximum size. requires patience and precision.
broad coverage. earns credits.
when to use: when you want broad market coverage and credit generation across many positions.
contrarian. fade the crowd.
when to use: when you believe the crowd is wrong. contrarian short-only strategy for mean reversion.
harvest funding yield.
when to use: when you want to harvest funding rate yield with tight risk. low drawdown, steady returns.
observe only. no trades.
when to use: when you want to observe market conditions without risking capital. zero trades, full data.
adaptive. the final form.
when to use: the final form. adaptive strategy that adjusts to regimes. requires score 7.0 to unlock.