This pool is managed by a strategist (Cleargate Capital) who holds a combination of BTC and ETH with smart rebalancing based on market conditions. The pool has exposure to BTC and ETH with positive price momentum, and lower exposure when prices drop. The strategy is long only but reduces risk exposure if price momentum is negative. The strategy is more sensitive to positive market movements relative to a trend strategy. As such, it is expected to provide slightly higher returns in a bull market but lower returns in a bear market. The goal is to provide a better risk-return profile than simply holding ETH and/or BTC.
Risk of losing your entire investment due to systemic issues in the underlying chain, protocols, or assets
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Yield Source
Your yield is based on the price performance of BTC and ETH on the Ethereum blockchain
This pool has not been receiving any protocol incentives to encourage user deposits
Investment Strategy
This pool serves as a rebalancing portfolio between ETH, BTC and USD, two volatile assets, while maintaining a 50/50 allocation over time to earn yield
Risk Details
Pool Fundamentals
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Get more from your crypto – earn 15% yield or more